COMPANY REGISTRATION NUhlBER: 06708913
¢%￿[T¥ 8E&ISTII4T£O￿ Wu￿BE￿L. gg26257
Bikeability Wales
Company Limlted by Guarantee
Unaudited Financial S
tements
31 March 2025
GORDON DOWN & COMPANY LIMITED
Accountants and business advisors
144 Walter Road
Swansea
SA15RW

Blkeablllty Wales
Company Limitsd by Guarantee
Financial Statsmpnts
Year ended 31 March 2026
Page
Trustees, annual report (.incorporating the director's report)
Independent examinerfs report to the triJst8es
Statement of financial activities (includinq income and
expenditure account)
11
12
ststemant of financiat posttion
13
Notes to the financial statements
14
The followina _pages do not form part of the financlal statements
Detailed statement of financial activitie8
23
Notes to ttB detailed statsnwrt of finan￿. cli.
25

Blkeability Wales
Company Llmitsd by Guarantee
Trustses. Annual Report (In¢orporatlng tho Director* Report)
31 Maroh 2026
The trustegs, who are also the directors for the purposes of company law, present thgir roport and th8
unaudted finanatal statements of the charRty hr the year onded 31 2Q25.
R•fer•n¢• and admfnlstratlve d•talls
fteglstered oharlty nam•
Blkeability Wales
Charlty re91s￿￿on numbor
1126297
Company rng1strat-￿ll numbfjr IK708913
Principal office and regist8r•d The Environment Cantre
office
Pier Street
West Glamorgan
Th• trustms
Ms M She￿ood
Mrs C Jones
V A Wllk3ms
Independ•nt examln•r
Carl West ACA
144 Walter Road
SA.£ 5RW
8tn4Cture, 9ov•rnanc• and manag•m•nt
The Management Committee confims that the annual report and financlal statements of the ¢harity
comply with th8 requirements of Ihe charity's governing documents and the provisions of the
Statemant of RecornnTrnded Practi￿ 2Q05 (SQRP 21J05).
L•gal status
The Charity is a company, limited by guarantee, registration number 06708913. It is reglstered wlth
the Charty Comm£s5i0n, number 1126297.

Blkeablllty Wales
Company Limitsd by Guarantee
Trustees, Annual Report (Incorporatlng the Dlrectorfs Report) (aonllnuedj
Year end
31 March 2026
8truotur•i gov¢manrs• and management (c4>n#nu¢dJ
Mothod of Appolntm•Tht
The Management of the Charity is the responsibiIlty of the Manaaement Commlttee and its offlcers
who are elgGted and c(>opted und8r the tenns of the Chatryty Cornmlssion Schomg.
Tha dlrectors of the company ar8 al￿ charity trustees for the purpose of ch8Yity Eaw. As the charity's
work has a focus on various aspects of cycllng includinG the health arKI social benefits, the
Managemont Cuinmtttfi8 seeks to ellSu￿ that its knowledge is approprl*ly refieclod thrauah the
dIVe￿ity of the truste8 body. Tru5tg&8 ar& also se19Cted for thgir organisational and financial
management, networklng and publlclty skills In an effort to maintain this broad skill mix, member6 of
the Management Committee are requested fo provide a tist of their skills and in the event of partjcular
skllls being lost due to retirements, individuals are approached to offgr themselves for pleGtion.
Trusto• Anduofion and tr41nlng
The trustees are familiar with the practlcal work of the charity and are encouraged to assist wlth the
charity's acuvttles and events.
New twstees are invlted and encouraged to seek advice from employees and more experienced
trustees concemlng:
Obllgations of Management Commlttee members,
The rnain dDcuments whlch set out the op8ration81 fnamaworkfoi the charity.
Resourcing and the current financlal posftlon as set out h7 the latest published accounts.
Futuro Plans and objethes.

Blkeablllty Wales
Company Limitod by Guarantso
Trustees. Annual Report (Inoorporatlng the Dlroctor's Report) (oondnued)
Y ar endg
roh 2026
Structure¥ governan¢e And management (¢onllnu•dJ
Rtsk Nlanag•mont
The Management Committee conducts an annual revlew of au of the malor risks to whlch the charity is
oxposed and su.bsequently focuses on highest priority risks durlng each Committee meeting.
PrO￿dureS and acttons to tAke are established to milu. any rlsks tha charity far•VS.
During 2024-25, the Management Committee implemented the findings of their review into Se￿iceS
and staffing. This was done in line with th& established risk appetite and in 0￿er trj mitigate risks
identified. These Id￿tified risks include those to managemenc 8lafEng, and e¥aluation and monltorino
capadty. Thelr flrst aGtlon was to undertake recrulthient of a Director to lead 2 strategic review of the
organisation and a fujl staff restructure consult8tion. The new l)Irector took up thelr post In May 2024
and worked with the stsff team tn develop and delfver an fn-year bustness plan and a lon
er-term
strategy. These plans successfully mitigated immediatg 8Xtemal and intemal risks and established
affective ongoing risk management prQaedu￿& Thosg inGluded:
A new diverslfied fundraislng strategy that incre8sed Indlvldual givtna donatlons and grant fundlng
alongside M￿.{mIsed trading income
Management of Internal financial risks through the implementatlon of prO￿d￿reS for authorls8tlon
of all transactions and projects.
Procedures to ensure compliance with health and 8afety of staff, volunteers, dlenls and vlsltors to
our venue.
N6uotlatlon of a flve year lea￿ for the BikeAbllity Wales maln dellvery venue,
Risk Managem6nt procedure8 ere p￿]Qd￿&1￿ reviowed to ernsU￿ Uwt they a(Intinue to meet the
needs of the charity, In Ilne wlth the approach taken to all organlsational policies and procedure8.
The Dlrector kegps trustees infortngd of any effle￿1ng risks to thg i>roanisation through regular
dlscusslons In bèlween fomial quarterly mpetlJTg8.
Key management remungration
The board of trustses togethor with k9y Staff member6 are considered to be the key management
personngj of the charity. Details of payments to]from Trustees are disclosed in note 14 to Ihe
acGounL8. Payments made to othe.r key manaaemenl personnel are glven in note 13. Thg Eevel of
payment mado to all key management personnel is reviewed annually by Trustee8.
Organlsatlonal struotur•
During the period covered by thÉs report the ch8rity had 4 truste&8 from a vadety of professlonal
backgrounds relevant to the work of the charlty. The govemlng document states that the charity shall
not have less that) three trustses and is nat subiect to a M￿lmU￿￿ Trustees meet Quarterly and are
responsible for ttie stratagkc directlon and poliGy of the charity.

Bikeabillty Wales
Company Ltmlted by Guarantee
Trustsos, Annual R•port <lncorporating the Diroctor's Report) (¢onllnu•dJ
Year end
- 31 March 202S
ObJeotlv•s and dollvltles
As statad in the Memorandum of Article The Ghaiity's obJeGtkvas are tha proMOts(￿ of Gommunity
particlpation In healthy recreation for the benefrt of thosa living or W0￿[ng in Swans&a and Southwest
Wales, for people of all ages with disabihties or other infirmity and who would othenvise be excluded
by enabllno them to enjoy the plvdsures and health benefts of cyollng hy the provision of special
facllitles and advice,.
Alni
BikeAbillty Wales w85 set up to en8b16 people of all ages and abilities to enjoy the pleasures and
health beneflts of cy¢llng.
Actlvltles
Actlvltles provlded by tl)e organisafion include..
CydIng activlfies which provided apportunifies for of all ages and with different abilitss to use
specially deslqned and equipped bikes with the 8UPPOrt of trained staff.
Hire of both speciaksed &nd star￿ard bike8 t(> the Gommunity in Swansea and th08e visit￿g the
area.
Cycle traiEU'ng for p8opl8 of all ag95 and at all 1g¥els inG]udiDg learn to ride sessions, CyGle skills,
National Standards Cycle Traininglgvels 1 & 2 gnd cydg maintenancg training.
Managemgnt of Swansea's Nexibike Cycle Share Scheme.
Opportunitles lor volunteers to parttclpate in BlkeAbility Wales se￿iCe5, to promote the charlty at
events and to undertake trainvw.
' Gulded rides along the Cjyne Valley and Swansea Bay cycle paths 8SSiSted by expert staff and
vohAntee
Evaluatlon #nd h•dbaok
The organlsation h8d a successful year as a provider of cycling opportunities for peopl& of all ages
arml ablltttes, with a wide range of people atÉending tho Dunvant yenua from Swanse
Carmarthenshire, Vale of Glamorgan and Neath Port Talbot.
User suNeys weTe issued to .gather feedback from partklpants in Ilne wEth outcomes created by
BikeAbilty Wales In partnership with particlpants, voluntsers, staff and stakeholders. For example, 15
people were 8sked to pmvid8 feedback in a snapshot suNey in Febnjary 2025. Of the 15
respondents:
100/0 reported that they felt the activities they took part in were excellent (other available
optlons for responses included 'good', 'aver
e, and 'poor')
939A sald they enjoyed taking part in exer¢TselphysScal activity
80% told us that they had fun and enjoyed themselves
reported that they feft rn0￿ confidenuless anxious about cycllng
66% eryoyed spending tin￿ with others
40% s.aid they leamed new skills

Bikeabillty Wales
Company Llmltsd by Guarantee
Trust••s' Annual R•port (Inoorporating the Dlrectoffs Report) fcontlnued)
Y8ar ondod 31 Mar¢h .2025
An online survey conducted In September 2024 asked about the v8lu6 of BikeAbillty W81è8 to the local
communlty. 98.5¥ts of the 65 respondents told us that th8 charity is important or very important to the
communlty In Swansea.
The charity also recelved qualitative feedback throughout the year. Testlmonials we recelved Induded
the followlnll ststements:
"My coach was am8zlng: patlènt, kind and funny. l am regtstered disabled with lung conditions and
mobility issues. To say I was anxlous, ner4ous and frightened before the ride Is an understatement.
The whole team were so suppothe. I feel this will change my rife, emotionally, physicalty and in ati
sorts of way5, 1 c8nnot bell6ve what I have achieved with the team's support. I will spreÈd the word to
people Ilke myself. Best resource In Swanse&"
It was a y88r of posftwe renewal for the charity as an organlsatlon. Th& Director and staff worked
together to refresh and enhan￿ service prcNlslorJ and to establlsh a staffirsg structure that priorit10￿ed
wellbelng and appropriate workloads. As a r88uK BlkeAbility Wales was abl8 trj rgn6w and build upon
tts role as the primary provider of inclusive cycllng acttvities in Swansea.
BlkeAbillty Wales, work In partnership with Swan88a University to suppnrt Swansea's Nextbike Cycle
Share Scheme came to an end in November 2024. A new contract for thi8 work was affered by the
parent company for the schemp, TieT Bikes (now known as Dott after a subsequent rnerger) on terrns
whlch did not rafl8ot the natwek of BlkeAbility Wales as a small Glwity. As a resul( a d8Gision was
taken by trustees that it would be more approprlate to hand over the contract to a larger provider, T16r
Bikes conducted a process which resulted In the contract belng handed over to Veloglk. Negotlaifons
were undertaken on e TUPE transfer basls whld) would have provlded employment contracts on the
same ter￿ as that offered by BikeAbility Wales. However, both the independent eontr8Ctor Chrts
Walsh and the employed maintenance officer Mark Hodgson dedded that they would li￿e to movè on
from their roles, feeling that this was a posttlve mov& for the

Blkeability Wales
Company Limited by Guarantee
Truste•s' Annual Roport (Incorporating th• Dlr•ctorfs Roport) (eonllnu•d)
Year endqd 31 March 2025
Oblecthi•s and aotivlties {eontlnu¢dJ
Yolunt•ws
Throughout the year there have been a total of approximately 16 r6gular volunteers who have
provlded in the region of 615 valuable working hours. They have brought with them a varlely of Skills
which haye been extremety importanl for the smooth njnning of the projec( these andude.. _
H8lplng clients
Assisting at cyde sessions and outreach events
Maintaining the bikes and vgnue wntainers
Providing admin18tratlve as8i8tance
Updating the website and social media.
Aldino with publicity
Informal training ha¥ been wovided, which Included'.-
Basic wGIg maJ"ntenancp. and repair5
Specialist cyde rna1ntenan￿ and repatrs
How to run cycle sessions
IT and media £kills
Project adminlstratFon
I to 1 teaching chEldren & adults to ride
We received excellent feedback from our volunteers throuuhout the year. One volunt8er, who joined
us 2024, said "BikeAblllty Wales is one of my most favourite charities as It really cares about the
People we support and oives them access to be able to have fun, leaTn new skilts. Get exerclse and be
n nature. The satisfaction of seeing people SMI￿ and genuinely feeling happy to be cycling is
somewhat Indescrlbable. I would en¢ourage anyone who wants to help people, be part of a team,
develop th8mselves in ways they haven't thought of. orjust oiving back tri volunfeer for BikpAbility as it
is something no one wlll rearet but in fact wilj Thke you a better person and ueate lifelong memories."

Bikeablllty Wales
Company Limitsd by Guaranteg
Trustoos. Annual Report (Incorporatlng tho Dlroctor's Report) (eontlnu8d)
Year ondgd 31 March 2025
Aohl*vèmDnts and performanc?
DunvantVww• b25Wp ￿.13¥f*A6
Dunvant Venu• bas•d a¢tivitles
Approxim8lely 65 people from NHS, care and housing provlders, charit16s and loc￿ schools vlsited us
on a weekly basis. This meant that they were able fo develop 8 regular exercise and Tpcreation
schedule which had a very positive impact on their physlc£l and mental wellbeing. Of the individuals
and families who Visited many were disabled, neuKJdNerse, recovering from illness or Injury, or
experfencing mental health problems or finanu-al challenges.
During the 2024-25 finanolal ye£r, th& organisatton was staffed by the Dlrector, Laur8 Courtney,
alongside Ceri Ann Mattriews, who transferred from the role of Manager to that of Senlor Cycllng
Officer followlng a staff restruGture. This enabled Cperi Ann to focus on dejivering services that reflect
her experience and &xpeTbse in supporting people to select and use adapted bikes and teaching
peop￿ to rfd8, It also ensured that the Director Is able to focus on fundralsing, staff management,
governance, finan￿ ond stratsgic development.
In early 2025, Hollie Norman was recruited to the role of Cycllng Offi￿r and Mark Hodgson took on
the role of MechaniG and maintenan￿ Officer. Assistance wlth cycling sessions, training,
mainlenance, and administration continued to be supported by both sessional workers and voluntegts.
All the staff havo ensured that th8 organisation has contlnued to deliver its aims and ob}ectiV8S.
The new staff Structu￿ has enabEed a suslarnable aw)mach to dellvery whlch ensures that at least two
pald memb8rs of staff ar8 always available onstte alongside experlencèd volunteers. However, as
volunteers slill play a major role in the dollvery of servlees, exploring opportunities to inGrease staff
capacity for yolunteer recruitment and support has been identified as 8 stratggiG objeGtive ft)r the
2025-26 financial year.
Organisational staff enabled the runnlng of regular, busy sftssions belwgen Tugsday and Saturday
wlth an average of 235 participants a month Including carers. Opening hours ware 86t at 10am
3.30pm on Tuesdays, Wednesdays and Thursdays and 1 Oam - 12pm on Saturdays to reflect the need
to ensu￿ that there were always al least Iwo paid staff onsite and to ensure tinancial sustainablllty.
Throughout thg ypar therg wpre a total of 2356 vigils to cycle sesslons.

Blkeability Wales
Company LimKted by Guarantoo
Trusts08' Annual R•port (Incorporatlng th• Dlrector's Report) (eonllnufjdj
Yaar ended 31 Mar¢h 2
Achlevements and perform4n¢• (conllnu¢dJ
A wlde range of free of charge avenis took place both at the v8nue in Dunvant and on the Clyne
Valley and Swansea Bay Cycle paths. In Auoust and September 2024, BikeAbllity Vvales provlded free
gusded rldes for groups of people who experience barri8rs to cycling and their families or carers. This
Included a aroup from Foster Wales, members of the Swansea Council for Voluntsry Services BAME
outreach group and adults with mental health problems. We also provlded..
Free weekly Companion Rid8s fromApnl to November 2024 and in March 2025.
Onslts spssions and gulded rides for people aged 50 and over in January and February
Free Introductory sessions for new and returning groups of disabled people in March 2025.
ProJ"8ct funding was providgd by several fimde.rs I[￿uding.
s￿lanSea Councll - COAST Summer of Fun Activity Grant and COAST Wlnter of Wellbeing
GranL
Austln Bailey Foundation
confidence bulldlng rides,
Oakfleld Tnjst - Frefi introductory sessions for new and retuming groups of disabled people
and others who woukl Oth9￿lSe be e.xcluded frorn cyclln.q.
Nattonal Lottery Awards for All - Funding to employ a Cycling Officer for one year.
Core fundlng grants to support all of our acttyitEes were provided by.
Garfield Weston Foundatlon
Companion rld&s, guided tand6m rides and women only
PostcDde Communily Trust
Community Foundation Wales - Fund for Wales
Donatlons from organlsatlons and In(fividuaKs also pEayed a part In ensuring thg financial sustainabtiity
of the organlsatlon. N6w fvndralsing platfonns were introduced including Easyfvndralsing, through
whlch companies donate whan customers shop online, and Lotto Abertawe, a Jocal communlty lottery
for which BlkeAbllity Wales is a 'good cause,.
We were dellghted to receive 8 large donation from James Myles Thomas. JaThs has visu81 and
mobillty impaiFTnents and uses an glectric SKte by side h8nd Gycle. He raised oyer £750 for BikeAbility
Wales by comp16ting his thallenge to cycle the eqijivalpnt of the distance betwep.n London and Parfs.
We were dellghted to celebrate his success by cheerlng hlm back to our Dunvant s&te as he completed
his last mlle on the bLke.
Cyole Coachlng and Training
BlkeAbility Wales has continued to develop the r8nge of both Infornal and formal tralnlng that It
provides. Throuuhout the year the charity delivered 209 one to ang learrk to rlde session& whÉch were
tallored to tha particular needs and abllitles of each partlclpant. A total of 8 formal Natlonal Cycl&
Stand8rds 1 and 2 training sessions took pla￿, tralning 40 participants, comprlslng 25 to Level 1 arKI
12 to Leyej 2.
Management of Swansea's 8antander l Nèxtbike sch•me
The charity continued to manage tha Nexlbikp sGheme in partnershlp witli 8w8nsea Universty

Blkeablllty Wales
Company Llm.Itod ty Gu￿ants￿
Trustses. Annual Report (InoorpDrating the Diroctots Report) (¢ontlniMd)
Yw 8nd8d 31 March
AGhi•vgmonts and p•rforman¢• (¢onthiu•d)
betrNaen April ar￿ NavAnkn 2Q2.4. Corth7rt. fundiwwaxprovAd8d. Naxt Bike. undw the ownersh
of Tier Bike for rna1ntenan￿ and redistribution seNices for the Santander rental bike scheme in
conjunction with Swansea Univorsity and Nexl &'kfi
BikeAbility Wales provided maintenance and redistribution services for 70 bTri es located in 8 stations
set along Swansea's seafronl. The schemo wa8 run from a wothshop at swansea Unive￿ity'S
Singleton CatTWS, It. was h¥ Chris. Vthh, wth main￿aTr￿ and redisthution
provlded by mechanic Math HodgsoYL
Flnanclal revlew
The Charfty's net tncome for the year amDunted to £9,734 (compared to £8,296 net outgolngs In
2023]24). The restrlcted Incomino resources for the year of £34,389 consists of grent Income received.
These funds were expended on salaries. equipmen* a.nd agreed oyethead& Any unspBnt Tevenue
incomé is carried forward to the next year. The tot81 unrestrfcted funds 8t the end of the year represent
the Char5tls free reserves and amounted to £48,820 (£59,209 - 2023124). The totsl reStrIct￿ reserves
at the year flnd ally￿￿tta£a
Investment Policy
The charity dwn.not presently have an inve$tment policy.
Reserv•s Poli¢y
The t{uSt￿ baya set&res¢¥v8spolir¥ wbiGh ¥Equire&
Reserves b8 maintained 8t a lev81 which 8nsur85 that the Drganisation's corp actlvlty Gould
continue during a one year period of unforeseen difficulty by retaning l year of staff salary in rfjserv8.
( £35 000 budgeted. based on the year 20111fj 2Q%2).
The proportl¢)n of reseNes to be malntained In a readily realisabk form should be £10,000 per
annu
Total to be retained in reserve." £45,000
This calculation of the required leyej of resenies Is an Inteural part of the organisatlon's planning,
budoet 9.nd forecast cyeAp.
The reserves pollcy tskBS Into account:
Rlsks assoclated W&￿￿￿.$￿￿ar￿. of inrxJryw andgxpBnditiKebeing dilferqryt.frow ttRtbudgetad
Planned activity level indudes: funds requlred to secure an Indoor venue, repalr end replacement
of cy¢les and equipmenL
Organlsational commitments including: Insurance, rent,accountancy.
The rpserwES polÈGy will hp 8rf.4nrJual basi.&

Bikeability Wales
Comoanv Limited bv Guarantse
Trustses, Annual Report (Incorporating the Dir•ctorfs Report) (continued)
Year ended 34 M2.-.. ----
Plans tor periods
For the comina vp.ar. Ihp nyPr￿.hiT￿j :w*)rity of Ibe rTHn8gement mmrniltpe is to sup￿Irt Ihe DireGtor
to achieve financial stability and sustainability whilst ensuring safe minimum staffing levels and best
practice Servi￿ provision for clients and volunteers. In addition, to work with the Director, other staff
and volunt.eers to pstablish priorities for dpliverv and growth in 2025-26 This work will rontribute to the
development of a three-year strategy. INork to develop this strategy will begin towards the end of the
2025-26 financial year
Priorities for the next financial year will include:
Enh8ncino BikeAbility Wales, offp.r to women and to disabled children and young rwple, as
our data collection shows that they a￿ less likely to use our se￿ICes.
Fop.¢is on enqtuing heallh and sacial rarp. pMVidpF￿ And wial prptscrihpJs arp. able to refer
clients to BikeAbility Wa￿S and provÈde incentives for individuals and organisations to visit us
Explore the provision of free cyde coaching and training for people of all ages and abilities,
including teaching children and adults to ride, develop new riders by delivering cycle skills
sessions. the provist(Jn of NattODal 8tanrtarrt% eyrje Train. iD.g 12vels 1: 2 & 3 In partnership
with Swansea Council.
Securing fijrther fvnding to strenothen Ihe cha.rity's operations Ihrovqh grant funding,
individual giving and increase use of social media to promote our services.
Further enhan￿ Ihe BikeAhilitv Wales site tn ￿3rtner￿1P with (￿r fjunvant Rugby
Club.
The organisation has an excellenl team of trustees. staff, and volunteers so we are confident that
BikeAbility V*la18s will wnlinue to bp &JcL£&sfyl over the year.
Small company provlslons
This report has been prepared in accordan￿ vith the provisions appli(2ble to companies entitled to
the small companies exemption.
&./2.2
The tnjstees, annual report was approval on ....-.........._....-..
trustep8 by:
- and signed on behalf of the board of
Ms M Shernood
Trustee
-10-

Bikeablllty Wales
Company Llmltsd by Guarantse
Indap•ndant Examiner's Report to tho Trusteos of Blkaablllty Wal•s
Year ended 31 March 2025
I tEPOrt to the trustees on my 6xamination of the financlal statements of Bikeability Wales ('the charlty,)
for the y88r ended 31 M8Fch 2025.
Responsibilities bas¥s of rgport
As the trustees of the company (and also its direclors frjr the pury)oses of company law) you are
responsible for the preparation of the financlal statenHIts In accordan￿ wth the requirements of the
Companies ACÈ 2006 ('the 2008 Act,).
Havlng satlsfied myself that the accounts of the company are not required to be audlted under Part 16
of the 2006 Act snd are aligible for independent examination, I report in respect of my examination of
the charlfy's accounts as carried out under seGtion 145 of the Charities Act 2011 ('the 2013 A¢l'). In
carrylng out my ox8mlnation I have followed th8 DireGtions given by the Charlty CommFssion under
sectlon 145(5)(b) of the 2011 Act.
Ind•p•ndent •xamln•fs statsm•nt
I have Gompleted my examinallon. t canfirm that no matter8 have come to my attention In o)nneGtion
with the examination giving me cause to believe..
affjountlng records were not kept in re8PèCt of th8 charity as requiNI by SaGtion 3
20C￿ Act,. or
ofthe
the tlnancial statempnts do not accord with those rg¢ord8' or
the financial statements do r￿t comply with th8 accounting Tequif8ments of section 396 of
the 2006 Act other than any requirenTrnt that the accounts give a %rue and fail vSew whlch
Is not a matter consldèred as part of an Ind&pendent examinati(Jn; or
the fin8ncÉal statements have not been prepared in accordance with the methods and
principles of the Statement of Recommended Practica for accounting and repo￿ng tr)y
charities applicable to charities preparing their arcounts in accordance with the Flnanclal
Reportlno standard applicabla In the UK and Republic of IrelarKS (FRS 102}.
I have no concems and have ac&oys no other mattw5 in connecllon with the examlnation to
which attention should be drawn in this report In order to enable a proper understanding of the
ar￿oUnts b be *ache
C8rl West ACA
Independent Exominer
144 W8tt8r Road
Swansea
SA15RW
11

Blkeability Wales
Company Limited by Guarantee
Statomont of Flnanclal Actlvities
{including income and expenditure account)
Year onded 31 March 2025
2024
Unrestrlcted
fund6
Restricted
lunds Total funds Total funds
Incom• and tndowm•nts
Donations and legacies
Other tradlng activities
other income
28,413
43,4Q3
331
34,369
62,782
43,403
331
20,217
74,158
233
Total Income
72,147
34,369
106,618
94,608
-Expenditur•
Expenditure on charftable ae,tlvities
Total ?xponditur•
82,525
82,525
14,257
14,257
,782
96.782
102,904
102,904
Net Sncomellexpenditurn)
(10,378)
20,112
9,734
(8,298)
Transfers bthen funds
(11)
11
N•t mov•m4nt In funds
(10,389)
20,123
9.734
(8,296)
Reoon¢lllatlon of fvnds
Total fvnds brought for4vard
Total funds Hrr.i•d forward
59,209
48,82Q
2,842
21765
61,851
71,686
70,147
61,851
The statement of financi81 actkVFkies indudes all galns and losses recounised in the year.
All Income and expenditure derive from contlnuing activittes.
Tho notes on pages 14 to 211orni part of those tlnanolal ststements.
-12-

Bikeability Wales
Company Limited by Guarantee
Statsment of Financial Position
31 March 2026
2025
2024
Fixed assets
Tangible fixed assets
15
2,638
2,245
Current aysets
Cash at bank and in hand
70,482
60,829
Credltors: amounts falling due within on• year
N•t ¢urr•nt assets
16
1.223
68,949
71,$85
71,686
59,606
Total ass•ts loss current liabiliti•s
61,851
Net assets
61,851
Funds ol the charity
Restricted funds
Unrestricted funds
22,766
48,820
2,642
59,209
61,851
Total charlty funds
18
71,686
For the year ending 31 March 2025 the charity was entided to eXe￿tIOn from audit under section 477
of the Companies Act 20(￿ relating to small compantes.
Directors, responsibilib'es:
The members have not required the c£)mpany to obtsin an audit of its financial statements for the
year in question in a¢xordance with section 476"
The directors acknowledge their responsibilities for cnmptying with the requirewEnts of the Act
th respect to accounting records and the preparation of financial statements.
These financial statements have been prepared in accordance with the provisions applicable to
companies subject to the small companies. regime.
ese financial statements were approved by the boaryl of trustees and authorised for tssue on
, and are signed on behalf of the board by..
Ms M Shepwood
Trustep.
The not•s on pag•s 14 to 21 form part of th•s• financial ¥At•m•nts.
13-

Blkeablllty Wales
Compary Limltod by Guarantag
Notos to th8 Financlal Statements
Yoar ondod 31 Maroh 2025
Gentral Information
The charlty 18 a puhlic benefit entity and 8 priyata company Ilmited by guarantee, retjistered in
Enoland and Wales and a r8gistsred charty En England and Wales. The address of the
gistered office is The Envlronment Centre. Pier Streec Swanw West Glamoroan, SA11 RY.
8tatem¢nt of oompliano•
Th8s8 financial stat9ments havg boen pr￿ared in compl18r￿ with FRS 102, The Flnanclal
Reporting Standard appllcable in the UK and the Republlc of Ir61and', the Statemsnt of
Recommended Practlce applicable to charities preparing their accounts In accordanr.e wlth thé
Flnancial Reporttng Standard appliGghle in the UK and RepubJi¢ of Ireland {FRS 102) (Charltles
SORP (FRS 102)> and the Companies Act 2008,
AcoouThtlny polici8S
Basls of prèparation
The finan¢ial statements have been prepared on the historlcal cost basis. as modified by the
revaluation of certain financial assets and liabilitles and investment properties measured at fair
value through incomg or oxpenditu
The financial statements are prepared In Sterling, which Is th@ functional currency of the entity.
Going oono¢rn
There are no material ￿n￿rtaInti88 about the charity's ability to contlnue.
Jud9oments aml k•y sourn•s of pstimat5on un¢ert#lnty
The prepar8tlon of the financial statements requlres management to make judgements,
estlmates and assumptions that affect the amounts reported. These 68timates and judgements
are Gontlnuatty reviewed and are based on experienee 8nd other factors, including expeGtatsons
of future events that ar8 beltevgd to be reasonable under the circumstances.
Fund amnting
Unrestrictsd funds are avallable for use at the discretlon of the truslges to further any of the
harity's purposes.
Designated funds are unrestrlcted funds earmarked by the trustees for particuEar futtwe project or
cammitmont.
Restricted funds are subjected to restrictions on their expenditure declared by the donor or
through the terms of an ap￿81, and fall into one of bNo sub-classes.. restrlcted income funds or
enclowment funds.
14-

Bikeablllty Wales
Company Llmltsd by Guarantee
Notes to the Financial Statsmonts f(gonflnuedJ
Year gnded 31 Maroh 2025
A￿OUntIng polloles (¢ontlnu8dJ
Inaomlng re$twroos
All Incomlng r6sourc6S are Included in the statement of financl812ctlvltles when entitl6m8nt has
passed tr) the charity. It is probable that the economic benefits associated with th8 transaction
wlll flow to the Charity and the amount can be reliably measured. The followlng specific polioies
are applied to particular categorles of income:
incom8 from donations or grants is recagnised wh9n ther8 is avidence of entitlement to the
gif( recelpt Is probable and Its amount can bo measured r8liabty.
lagaoy income 18 recognlsed when recelpt IÉ probabla and entillement is establishod.
income from donated goods 18 measured at th8 fair value of the goods unless thls is
impractlcal to measure reliably, in whiGh case the value is derived from the cost to the donor
or the estimated resale value. Donated facilittes and seNices are recognksed in the
accounts when retsfved if the value can be reliably measured, No amounts 8re Rncluded for
the contributlon of general volunteers.
income from Gontracts for the supply of serrfrc8s is recognised with the delivery of the
contracted Se￿1￿. This Is classified as unrostricted funds untess th￿e is a contractual
requirement for it to be spent on a. particuEarpurpos& arKI. retum8d if unspen( In which c2se
it may ba regarded as r8stricted.
R•sourG•S exp•nd¢d
Expenditiire is recognised on an accrua18 basis as a liability is incuThed. Expenditure Includes any
VAT whith cannot be fully recovered. and is classÈfied under headings of the statement of
nanciaE activiles towhich it reLgte&;
expenditure on raising funds includes the costs of all fundraising activities, events,
non-charitable tradino actl.vltles. and the sale of donated goods.
expendlture on charitable acts'vifies Includes all costs incurred by a charity in undertaking
activittes that further its chaTitable ainB for the benefit of Its benefia'ari8s, including those
SUPPDrt costs and oosts ratallng lo the ooyemanc* of the charity apportioned to charitable
activities.
other expendlture includes all expenditure that is n91th8r related to raislng fun.ds for the
charity nor part of its expenditure on charitable activities.
All costs are allocated to exper￿11￿￿9 categorles reflecling the use of the retsou￿. Direct costs
attributable to a single activity are a]located directly to that actlvlty. Shared costs are apportioned
bebNeen the activitles they Gontiibute to on a reasonable, Ju8dltable 8nd consl8tent basi8.
Tanglblo assets
Tan9iblg assets are initlalEy recorded at cost, and sul)sequgntly stated at Cost less any
accumulated depreciation and impalrment losses. Any tsnglble assets carrled at revalued
amounts are worded at the fair value at the date of revaluation less any subsequent
accumulated depreGiation and subsequent Sccumulated impairment losses.
-16-

Bikeability Wales
Company Llmlted by Guarantee
Notes to the Flnancial Statsments {eontlnu6d)
Yoai $ndgd 31 March 2026
Acoounting pollcles [¢oAtlnuod)
Tanglble assftts {oonllniwd)
An increase in the c8rrylng amount of an asset 88 8 result of 8 revalu8tlon, Is recognised in oth@r
recognlsed galns and1085es, un188S it reverses a charge for impairment that has previously been
recognlsed as expendlture within the statement of flnanc.ial aotivtties. A deorease in the carrying
amount of an asset as a result of revaluation, fs recognised in othar recognised gains and10&8es,
ex￿pt to which it offsets any prevlous revaluation gain, in whlch case th8 loss is shown within
other recognised llalns and k>sses on the statement of financlal activitJe&
Depr•¢lAtlon
Depreclatlon Is calculated so as to wrlts off the Gost or v8liAation of 8n 8s8eL less its residual
value, over the useful economic Ilfe of that as8et as follows:
Equlpmont
25% straight lu
D•lln•d contrlbutlon plans
Contributions to defined contribution plan8 are reGognised as an expense In the perlod In which
the related service is provided. Prepaid contributlons are recognised as an asset to the extent
that the prepayment will lead to a reduction in future payments or a cash refund.
When contributions are not 8xpected to be settled wholly wlthln 12 months of the end of the
reporting dat8 in syhich the employees render the related seNice, the liability Is measured on a
disGounted present value basis. The unwindlna of the discount Is recognised a8 an exp6nse In
the period in which it arises.
Llmit•d by guarantse
The Charlty is Ilmited by guarantee and has no share capiftal, The liability of the mernbers in the
event of the compeny belng Ilquidated is limited to £1 per member.
Donatlons and legacies
Unn3stricted R&st[1c￿jI Total Funds
Funds
Funds
2025
DonAtlons
Donatlons
3,413
3.413
Grants
Hedley Foundatlon
G8rfseld Weston
CC Swansea
The National Lottery
Fund for W8tes People's Postcode Lottery
Postcode Corrffnunity Trust
The Austin Bailey Foundation
5,000
5,2Q4
19,656
1,750
s,000
5,204
19,666
1,750
25,000
2,759
62,782
25,000
2,759
34,360
28,413
.16-

Bikeability Wales
Company Limitod by Guarantee
Notes to tho Flnan¢lal Statemonts (contlnugd)
Year anded 31 Maroh ?025
Donatlons and lega¢les (¢ontlnuedJ
Lk7F&Stricted RestrEcted Total Funds
Funds
Funds
2024
I)ona￿anS
Donations
3,167
3,167
Grants
Hedley Foundation
Gaffield Weston
CC Swansea
The National Lottery
Fund for Wales People's Postcode Lottery
Postcode Communtty Trust
The Austin Bailey Foundation
2,000
5,000
8,4QO
2,000
5,000
400
1,650
17,050
1,650
20,217
3,167
Other tradlng xtlvEtles
Unrestr.Ected T¢￿1 FuYKls UnTestrickd T41tal Funds
Funds
2025
Funds
2024
Other actlvltles for generating funds
43,403
43A03
74,158
74,158
(Xher Inoom•
Unr8stricfed Total Fu
Funds
2025
Unrestrlcted Total Fun(Is
Funds
2024
Other income
331
331
233
233
Expendlture on charitable actlvkEes by fund ty
Unresl'ricted R&stricted Total, Funds
Funds
Funds
2025
Dlrect Charltable Activity
support costs
80,382
14,257
94.638
2,144
96,782
82,525
14,257
Unrestrlcted Restricted Total Funds
Funds
Funds
2024
Dlract Charltabla Activity
Support costs
67,899
1,938
33,067
100,968
1,938
102,904
69.837
33,067
17.

Bikeability Wales
Ce*mgatty Llmlted by G*Rratrtee
t4otss to tha Financial Statsnwnts fgonthued)
￿darf 31 March 2025
Expendlture oft charltable aetlvitlts by activlty type
undertakBn
directly Support costs
Total lund5
2026
Tot81 fund
2024
Dlract Charitable Actlvity
Govemance costs
94,638
94,638
2,144
100,966
1.938
2,144
94,fj.
*019Q4
10. Affi￿Y$ts pf. p•rtMsts
Analysis of
support costs
t 7A71?12￿ Totsk2024
Finance costs
436
416
1,680
365
1,572
1,937
2,og6
Net irrKimellexpendilure) is Stat￿ afr£r chargingl(crerfitlng)'.
2025
2024
DeproGiation of tangible tlxed assets
2,157
2,186
2025
2024
Independent examination of the financial statements
1,086
q& Staff
The totsl staff costs and employee benefils for the ￿pOIlIng perftyj a￿ analysed as follows.,
2025
2024
Wages and salarie8
Employer contributions to pensiDn plans
76￿38
1,667
783Q3
76,010
1,488
77,498
The average head count of employees during the year was 4 (2024: 4). The average number of
ull.thne eqyivuku£•yeFsthlfigthe yeaf E afiatyserj astllows.
2025
No.
2024
No,
Number of Staff - type I

Blkeablllty Wales
. . Llrrtltad by
Notss to the Financial Statsments {GOntlnuod)
end9d 31 Marnh 20£6
13. 8taff costs (¢oniln
of""ri)or&11)a"I ffjTr,fth'drJsyntJ 111aywt￿tt4" Ixllk
14. TNste• MmufteratirK4 and •xpense5
received by th8 tnjsteas.
15. T
Equlpmont
Total
At 1 Aprll 2024
Additlons
93,951
2,548
93,961
2,648
At 2Q26
D•prettlado
At 1 April 2024
Chwgetr theyaaT
At 31 March 2026
91,706
2,157
93,883
91,708
1157
93,863
At 31 2026
2,636
1245
2,636
2245
At 31 ma￿h2O24
16. cr￿ltOrs. amounts fglllng due wlthin otte year
3024
Accruals and deferred income
SoLlal a¥EA otheTtsxe5
Other creditors
1,086
179
t￿3
I,223
17. Penslons and gth•r post r•tir•nwnt benefits
Tho amount recognised in income or expetiditure as an expense in relation to defined
)n1r￿Ul10t1￿Iar1S w&8£1..1187 (2Q24.. £.t,4W.
-19-

Bikeability Wales
Company Limitsd by Guarantso
Notes to the Financial Statsmants (conllnu•rl)
Yoar ondad 31 March 2026
18. Analysls ol ¢hArltabte lunds
Unr•strirt￿ lunds
At
J1 March 202
At
1 April 2024
Income ExpenditutE
Transfers
General funds
59.209
72,147
(82,525)
{11)
48,820
At
31 March 202
At
l Aprll 2023
Income Expenditure Transfers
General funds
51,488
77,558
{89,83n
59,209
Restrlctsd funds
At
31 Mareh 202
1 Aprll 2024
Income Expenditure
Transfers
scvs
Swansea Change
The Austln Balley
Foundatton
Moondance
Hedley Foundatlon
Garfield Weston
The Natlonal Lottery
Fund for Wales Peoples
Postcode Lottery
(729)
(5,215)
1,913
5,204
11
2,759
(1,496)
1283
5,000
19,656
(5.000)
{1,670)
17.986
1,750
34,369
(147)
(14,257)
1,603
22,766
2,642
11
At
31 March 202
At
1 April 2Q23
Income Expenditure
Transfers
scvs
Swansea Change
Tha Austin Bailey
Foundatlon
Moondance
Hedley FoundatÈon
Garfield W8Ston
The National Lottery
Fijnd for Vvales People's
Postcode Lottery
2,641
441
2,641
8,400
(8,841)
1,850
(1,650)
(15,576)
(2.000)
(5,000)
15,577
2.000
5,000
18,659
17,050
(33,067)
2,642
.20-

Bikeability Wales
Company Limltod by Guarantee
Notes to the Financial Statsments (￿lI￿u8￿)
Year •nd8d 31 March 2026
19. An*lysls tst nèt assets between funds
Unrestrlcted
Funds
Restrtcted Total Funds
Funds
2026
Tanglble fixed assets
Current assets
Credltors less than 1 year
Net assets
725
49,629
(1,533)
48.821
1,911
20,883
2,638
70,48*
{1,6331
T1￿86
22,764
Unrestiictsd
Funds
Restricted Total Funds
Funds
2024
Tangible fFxed assets
Cvrrent assets
Credltors less than 1 year
Net asstts
2,245
60,829
{1,223)
61,851
2.245
80.829
(1,223)
61,851
-21-

Blkeablllty Wales
Company Limitsd by Guarantse
Managemont Informatlon
Yoar ended 31 March 2026
The followkng pAges do ntst torni part of th• finan¢ial stat•m•nts.
-22-

Blkeablllty Wales
Company Limited by Guarante•
Dgtailed Statement of Financial Activities
Year ended 31 March 2026
2025
2024
tn¢om• and •Adowm•nts
Donatlons and legacles
Donations
Hedley Foundation
Garfield Weston
CC Swansea
The Natk)nal Lott8ry
Fund for Wales Peoplè's Postcodè Lottèry
Postcode Communlty Trust
The Austln Balley Foundatlon
3,413
3,167
2,000
5,000
8,400
6,000
5804
19,656
q,760
25,000
2,759
62.782
1,850
20,217
Other trading a0t1￿111•S
Other activities for generating ftjnds
43,403
74,158
Other Income
Other income
331
233
Total in¢om•
106,616
94,608
Expenditure
Expnditur• on Charitable aGtivf<ies
Wages and salari
Pension (
Rent
Light ania heat
Repairs and maintenance
Insurance
Ott)er motorltr8vel costs
Leoal atKI Professional fpes
Telephone
other offic8 costs
Depreciatlon
other Interest payable and slmllar charges
General expenses
Training
Volunteer expen8e8
Bad debts
76,638
1,667
3,824
S03
634
2,112
329
1,722
1,415
675
1157
422
2.096
1,923
356
410
76,010
1,488
3,600
851
535
2,219
174
1,572
1.298
1,747
2,166
366
905
812
86.782
102,904
Totsl expenditur•
96,782
102,904

Bikeabllty Wales
Company Llmlted by Guarantee
Dotailed Statement of Financial Aetivitlos (contlnu•d)
Y•ar on.dod 31 March 2026
2028
2024
Net InMMol(expendl￿Tej
9.724
(8,296)

Bikeability Wales
Company Limitod by Guarantea
Notss to the Detailed Statsm•nt of Flnanclal AGlvltles
Y•ar •nd•d 31 March 2025
2026
2024
Expendlturn •n oharltable actlvttles
Dlreot Charltable Actlvlty
Activities undertaken dlrecty
Dlrect charitable actlvlty 1- wageslsalarles
Direct charitabb a¢tivlty 1- pan￿0￿ costs
Direct charitable activity 1- rent
Direct charitable activity 1- light & heat
Dlrect charitable aGtNity 1- repairs & maintenance
Dlrect charltable aotNity 1- insurance
Dlrect Gharltable actlvlty 1- other motorltravel Gosts
DlraGt Gharitabb activity 1- telephone
DireGt Gharitabb activity 1- other office costs
DireGt charitable aGtivity l - depreGiation
General expenses
TTaining
Volunteer expenses
Bad debts
78,638
1,667
3,824
603
634
2,112
329
1,415
876
1167
2,096
1,923
355
410
76,010
1,488
3,600
851
535
2,21g
174
1,298
1,747
2,166
905
9,161
812
94,638
100,966
Gov•rnano• oosts
Governance costs - accountancy fees
Governance costs - other finance costs
1,722
422
1,572
2,144
1,938
Expenditure on oharitable a¢￿VItIeS
96,782
102,904
-25-