REGISTEREDCOMPANY NUMBER: 06641980 IEnzl•nd andWales}
REGISTEREO CHARITYIIUMBER." IIZ7347
Reportolt￿Trt￿tèos*nd
Unaudlted Flnan¢i•l statements
for the Year Ended 31 Marth 2025
TheGap1fvltdlandsl
Dalton P¥rdoe Llmhed
Chartered kcountsnts
794 Hl&h Street
Klngswirrford
West Midlands
DY6 8BQ

Th• GaplMld1￿￿$j
Contents olthe FlnandalStst•m•nts
fortheyear EThled 31 Marth 2025
P¥8•
RtPDrtoftheTryrtt
I to 2
Ind¢p•nd•nt Examlnerfs Report
StDtem•ntof FINntlal Actlvltlos
Balanushoot
5 to 6
Notw wtho Rh•n¢TalStstements
7 to 11
Dqt•lled St4t•m•nt of Fln•ntknl Artfvltl•J
12

TheG•p IM1*n&l
The trustees who are a150 dlrectors ot the thirlty for tht purposes of Companle5 Act 2006, presert tt*lr w)th the
fftnanclal statements of thè charlty for the year ended 31 ma￿ 2025. The trurtees hove adopted the provlsSons of ActountlnB and
RepDrtlnB by Charll*s.' Ststemertof Recommended Pract*e•ppfkableto th•ri￿t$ prepari￿thetrèc£0UrrtS In accord•nce wlth the
FI￿n¢*I Reporunq Standard appkable knthe UK •NI Rwbutof Ilek￿ (FR5 IOZI leffeLllde l J¥ftu•ry 20191.
ONJECTIVES ANDACri￿nE$
Obledlws •nd almi
Th• charfty Seeks to demor&tAté thE Clwbdon falth kn Klknn. It s••*s to offer to m•r8kn•lhtd Irrespetthe of
clr¢umrt•nces or sltuatlon, opAirtunlllÈs to Imwtsve thelr condStky4 of lffe ar￿ dMlop thelr skllLs a￿1 c3￿bIl￿1es. to tMblè
them to pgrtldpate In SOC￿ a5 rnatyfe ar￿ responslble •dults and to denhjnstrate to thern the posIt￿ dWf•r•nce a talth In Jesus
Chrlsi c•n brfnito them.
FIPIANaAL IIEVI
Nmndal Re¥lew
Thecharty recelved IrKome •rrw)unVni to £51.779 In the prwKler r£bknl£lOI.358: 20241. Expendlture ts*•lled
£42,534 torthe ￿lf￿r￿￿r I￿•W IE36m5.. 20241 •n ￿rnI1 Sufphts ollrtorrn ¢Mr¢¥wndltur• of £9.245 (Surplus of
£65,263: 20241
Reserve5 brought fOr￿rd •s •t tst Ap￿ 2024 totsw £68.47a Ind ￿ • the tha￿$ total resèrves cirrled fopw•rd at t
nce sheet date IrKreased to £77,7ts. Unrertdcted re5erbYs redwed from £56.413 M •t 1st Aprll 2024 to £53,194 over the ye•r.
The Injstees h•¥e Èstabl￿hed a polky Where￿ free reser￿ ￿k1 ￿ the tharlty str*iuld be m•lnt¥lned at £I5,C￿. Th15 15 bued on
•n estlmate olfoyr nh)nth5 av•r•8• exp•ndltyi•. G•Mral féSeNescarrWf(￿r￿It t￿ b•l•rKe thto were £53.194.
G(rArnlni dowm•nt
The charlty LI controlled by its 4 deed of •nd cortsdt￿ I Ilmw ¢ornpJny* y•r•nt•8. •$
denned bythe Compon*SP£t2￿6.
The polMI and operntln8 declskjns of tht (￿rIty rest ¥Ath Dlrector>ifrustees who rMet regul•rfy to monltor t￿ •rtMtles of
the company. Néw Trustees ¥re ¥ppolnted by ordln•ry rexAutkn of mernbers. The reC￿MendItIOnS for ipFolntments •re
d on t￿ need lor th• th¥lty to h•¥e •n 4pwowtht• ￿11 to dettrffikne th•rlty Pol￿•% and to n￿nItOr
Impltmentstlonof ihm.
Rlik miMprn•rt
The trijstees hi¥e • duty to Id•niify Ihe wtsks to t•hkh ¢h•rir¥ Is •4)oMd ind to enwt• controls arn In
pL4¢e to provlde fe•3onible 1sgJr•K•ayhutfr•Jd artdentr.
AEFERENCE ANDADMINISTrAIIVE DETAILS
5Jter•d Company nurnhi
06641980 IEn8land and wa￿$)
1117347
Banners G¥te ComftwJnltyChurth
Westwood Road
&Jtton Coldfteld
West Mldlands
B73 WM
Mts C Morphet
R M Pearse- Chalr & Se¢fetsry
J H Walker
D West-mullen ¢r*sli￿d 31.10241
D S Nodkln50n
P Palser
Mlss C HIU lapontsd 13.11241

Gwp IMfdl•ndsl
Report of the Trnstres
forihe YeBr Ended 31 March 1025
REFEAENCE AND ADMINISTRATIVE DETAILS
¢omponySecr•t•ry
R M Pearse- Chalr & Secrttsry
Independ•nt E%￿Iner
Colln Dalton fCA
Dalton Pardoe Umthd
Chartered Actountants
794 Hlgh Strett
Kln85wlnford
West Mldlands
DY6 8BQ
TrUSTEES' RESPONSIBILifi SYAieMENT
The trustees (who afe also the dlrector5 Of The Gap Imldlandsl fortho w1po$￿ of conwny l•wl Jre reJponslbl• for pr•parfni the
Report of the Twustees pnd the fln•ncl•l statemènts In atcordaKe wlth appllcable law and Unlttd Klngdorn AttouThtlng 51ondards
Iunlted Klngdom Gèneralty Accepted Accountln8 Practlcel Includlng Fln?nclJl Repo￿￿& Standard 102 °The Flnantlal Reportln6
St4nd•rd •ppllcable In the UK and Republlc of IrelJnd',
Compjny liw r•quli•s the trust915 to preppre flnonclal statements for ••ch fin•n¢l•l ye•r. Under thèt ￿w. the truste￿ h•ve
elected to prepare the flnartclal $tèternent5 In accwdjnce ¥Ath Unl1￿ KI￿d0M G•n•r•lly Acc•pted A¢¢ountlni Prnctlce Iunlted
Kln6dom A¢counlln8 Stsnd•rds•nd ippllcibl• lawl.
Under comp•rbV l?w the tmste•s must not approve the fln•ncthl statsments unless they Ire ￿tl$fled that they glve ? t￿e and hlr
vlew of the stste of Jff•lrs of the charltablè cemparty Ino of the Incomlng resources and appllcatlon ol resources, Includln8 the
Incorne Ind wendttur•, of th compry ft•r thrt peflod. In preyrlni th¢)se fln•ncl•l stst•m•nts. the tNStee5 Ire
r•qulr•d to
select iutt•ble •ccountlng pJllckn5 •nd then •pptythem coThslstentlyi
ob5erye the rnethods and prlnclples In the Chafltles SORP..
make lud8emènts and e5tlrnate5 that are r••son4bl• Ind prt￿eTrt,.
prepjre the fln4ncl•l rtitèrntnts on the 8oln8 concern basls unless 11 Is Impproprtpie to presume th•t th• ch•rttibl• c1)M￿nY
wlll ¢ofitlnue In bJ3ln•ss.
The trustht> pre responslble for k•epln8 propr attOLtn¥Tr8 records whlch dlsclose wlth f•asonable Kcur•cy •t •ny tlm• th•
fln•n¢lal posltlon of the chjrltsble cornpany and to enable them to ensure thjtthe fln•ncl•l statements compty wlth the Cornwntei
Art 2006, They are also rtspon51ble ft>r safeBu&rdlng the assets of the ¢h¥rltsble cornpjny and hence lor taklng re•sonable steps for
the preventk*n Ind detettson of frnud irKI ot￿r Irre8uliiltlos.
Thls report been prewred In iccord•nce wbth the speclal provlslons of Part is of th• Compan￿% Art 2006 rol•tbn8 to sm•ll
¢ompanlei.
Approved byorderof the boord of trusteeson 21 Octo￿1 2025 and slÉMd on its behilf bv:
esxj
R M Pearse- ChJlr& SttrÈtsry-TNstee
Palle 2

Independent Examh*es Aeport ttstheTfi￿e￿ of
The Gap Imldjandsl
Independert eM•mlner's repOrttt¥thetrust•esof￿ Gap IMldlBnds) rtht CoThyBnrfl
I rep￿t0th¢ tharfty twstees on myexarnlnatlon ofthe accounts ofthe Company forthe yeai endéd 31 March 2025.
Aesponslbllltles ind ba515 of report
Ns Ihe charfty's trustees of the Company land 4150 rts dlrectors for the purp¢)ses of tomparty lawl you ore respoffllble for the
paratlon of the accounts In accordance ￿th the requ1￿mentsO1t￿ Companles Act 20061'thè 2006 Art'l.
HivlnK 5atlsfied myself th•t the ￿￿OUnts of the Compwny ore not r•qulrnd to be audknd under Part 16 of th• 2006 P*1 and are
ellglble for Irwjppendent examlnatlon, I report In respett of my examlTratlon of your charlty'$ accounts as carrled out under Settion
145 of the Charftlis Act 20111.the 2011 Act'l. In carryln8 my exarn11￿On I h4ve folk>wed the Dlrectlons 8fven by thè thjrlty
Commlsslon Under Sectlon 145151 Ibl of the 2011 Art.
I hwè completed my examlnatlon. l ¢onflrm th•t no matters h•¥e como to my attentlon In connertton wtth th• ox•mlnatlon gMn8
me cause to belle¥e.'
•cwuntln8 records were not kept In respect of the Compary as rnqulred bysectlon 386 of the 2ts)6 Aci.. or
the KCO¥nts do not accord wlth those records: or
the accounts do not compty wlth the accountlng requlrerntnts ol Strtlon 396 of the 2LW6 Art other than any requlrement
that the ¥ccounts 8Iv• a true ond falrvlewwhlchls not a m•tterconsldered as part of in Independent examlnatlon- oi
the accounts have not be?n prepared In atcordlnce vAth the methods and prlntlples ol the Ststement of Recommefided
Prartlce fof accountln8 and rèportlng by chorltles14pplluble to chirltle5 preparlw thelr Iccounts In accordance wlth t
FJn•nclal Repjrtlng Stsndard appllcablè In thè LIK and RepuWk of Irelond IFRS 10211.
I h•¥e no con¢tms ar￿ hjw com• across kw) other mittlrs In connectlon wlth the •x•rnln•tlon to whlch attentlon should be dr•wn
In thls report ln orthr to tnible ¥ proper understsndln8 of •¢countsiO be reached.
n D•knn FCA
D•knn P•rdoe Umlted
Chrtered Accoynlants
794 Hl8h Street
Kln8swlnford
W￿t Mldl•nds
DY6 88Q
21 October2025
PaBe 3

The 13ap IMldlands1
Stolement ol Fln•ndal Artfvltles
for the Year Ended 31 M4￿h 1025
31325
Tot•1
lunds
31.3.24
Total
funds
Unrestrlcted
fund5
Restrfcted
funds
Notss
INCOME AND ENDOWMENTSFROM
Oonatlons and legacles
a0￿47
18.037
98.685
Othertr•dln8 art￿btleS
Investment Incorne
2,OOD
1.695
673
Totsi
31,742
20037
51.779
101,358
EXPENDrruRE ON
Ra151ng funds
4,935
4.935
5.4S9
Ch•rtt•blfr a¢tl¥ltlos
-expendKure
7J73
37,$99
30,636
T•t•l
,961
7A73
42.554
36.095
NEf INCOMVIEXPENDITURE)
IZh64
9245
65,263
RECONCILIAYIOPI OF FUNOS
Tot•1 funds Iyouihtforward
IU160
61An
3,210
TOTAL FUNDS CARRIED F¢)RWARD
53.194
77,711
68,473
The notes fomi partofthe* hnanclal ststements
Pa8e 4

Tho Gap IMldlan&l
Balan¢e5heet
31 Marth 202S
31.3.25
Totsl
fund$
31.324
To￿1
funds
Unrestrftttd
fund5
Restrkted
lunds
FIXED AWYS
Tan8lble assets
214
CURRENT ASS
Oebtors
Cash at bank4nd In hand
6.671
72.269
1652
67,135
47,959
24J
$4MO
24JXO
7B.910
69.787
CREDITORS
Amounts fjlllno du• wlthln oneyeir
io
12.7541
NETCUIIRENT ASSETS
52A28
24,310
76.618
67.033
TOTALASSETS LESS CURRENTLIA8IUTI
53.194
24,524
Tl,711
68,473
NEfASSETS
5J.l94
77,718
68,473
FUNDS
Unrestrlcted funds..
General fund
Ernery•n¢yfvnd
li
38.194
15.OlX)
46.413
10,000
53,194
56,413
Aestricted funds..
Headsp•ce Projert
Youth Worker
V•nue Garnes
Holldiyworkshops
Tr•lnln8
2,505
9.459
96
874
400
24,5Z4
11,060
TOTAL PJNDS
77.711
68,473
The ch•rlt•ble company Is entttlÈd to exemplh)n from 4udlt under Secllon 477 of the Companles Art 2(h% for the year •nd•d
31 March 2025.
ThÈ members have not requlred the Corn￿￿¥ to obtaln afft iudlt of bts fin•￿111 ststem?nts for the year ended 31 Mar¢h 2025 In
accordance wlth Sectlon 476 of the Companles Act 2006.
The trustees KknovAed8e thelr r•3ponslbllltlesfor
ensurlng thot the chgrftable compami keeps •¢countlnK records thai ¢ompty wilh Se¢ik>n5 386 ond 387 of tho Companles
Act 2CK16 and
eparlnB flnanclal 5ts1ements vthlch Blve a tnje and falrvltwof the stsie of affalrs of t￿ charftsble company as at the end
of each flnanclal year and of Its surplu5 Qr deflclt for each flnanclal year In accordanc• wth requlrements of Sectlons
394 and YJ5 and whlch otherwlse cornply wlth the iequlrements ol the Companles Aci 2006 rela￿n% to flnanclal
statements, sofaras applkable to thp £haT￿ble compary.
The note5 form partofthtse financlal statements
Pap5
contlnued...

Gap IMEdlandsl
8•l•nce Shtet- conthwod
31 Ma￿h 2025
These flnandal Jtstements havi bÈtn w•parÈd In accordarKe vAth the provlslons appllcabje to charttable Com￿n￿$ sublett to the
small companle5 reglme.
Thi fbnanclalA•tementswere •pprnved by Bo•rd of Trustees and authorlsed for15sue on 21 October 2025 and w•r• sI8￿d on
Its behaff by.
Q.mP.-
R M Pe•rsè- Chalr& Secretsry-Trustee
The notes form part ofthese financlal statements
Pagè 6

TheGpp IMIdlJ￿)
Note5 to ¢he Flnandal St•t¢ments
for the Year Ended 31 March 2025
ACCOVPIIING POUCIES
B•sLs of pr•parlfig the flnwncl¥l st¥tements
The financlal ￿at￿rnents of the charltsble cornphny. whlch ￿ • publlc ben•fft t￿ty under FRS 102, have been prepared In
4ccordan¢e w￿h thè Charltle5 SORP IFAS 1021'Accountln8 and Reportln8 by Charltles: Ststement of Recommendtd Prathce
appllrable to charitles prepailn8 ihelr accounts In attordance wlth the Flnanclal Repjrtlng Stsnd4Td applkable In the UK
•fid Republlc of Ireland IFR5 1021 leffectlve l January 20191,, Flnanclal Reportln8 stsndard 102 The Flnanclal Reportlng
Stsndjrd appllc•ble In thè UK and Republlc of Ireljnd, and the Companles kt 200& The flnanclal ststernents hove been
pmpared under the hlstorlcal cost conventlon.
In¢om•
All Income Is reco8Trlsed In the St4tement of FIna￿laT Actfvitles once charlty has entltlen*nt to the fun04 11 bs probablp
t￿tthe IrKome wlll be recefved and the amouni can be measured rellablv.
Expendkur•
Ll•bllltle$ ire recoinls•d is •xpendlturè as soon a> thefels ¥ leyl orconstructl¥e obll6•tlon commlttln8 th chirfty to thot
exFendlture, It Is probable that a transfer of economlc beneflts wlll ￿ requlred In settlement bnd tho amount of t
obllgatlon can be measured rellably. Expendlture Is accounted for on On •ccruJ15 ba$55 and ha5 been classffled under
headlny that aure8bte all cost rel•ied to the utÉ#ory. Wh•M costs tannot bp dlrettly attrlbuted to partlcular headlny
they have been allocated to •ctlvltles on a basls consLstent with th• Of regwr¢es.
Y4￿[bIt Ifx•d a•sets
Depreclitlon Is provlded •t the lollowiD84nThual fates In ordertowrlte off each as￿ over lts*Stlmited yjeful Ilfe.
Flxtures and fltt1fi8S
Computer equlpmaht
25%on reduclni b•l•rKo
25%on reiluclni balance
T•x•tlon
The chiilty Is •x•mpt Irom corporntlon ttxon its ¢hprltabk¥rtfvltleJ,
Atnd K¢guntln8
Unrnstrlcled funds can b& used In •ttord•nc• wlththe ch•rltableoblettivès at tht dlscretlon of the tnjstees.
riestrlrted funds can onty b• used for portlculpr restrlctod purpoms vhthln th• oblects of ih• ¢h•rlty. Re#rfctlorth arh•
when speclfted byth• don¢>T orwhen fund5 Ire r•lMd for plrtlcular r•strkted purpose
Furthei eW•nwtlon of the nature •nd purpow ¢)f e•th fvnd Is IKluded In th• notssto the fflft•ncl•l stsiemen
OTHER TRADING ACTNM
313.25
31.3.24
Fundr•lslft4 events
2.000
INVESTMENT INCOME
31.&25
31.3.24
Depos￿ 1¢￿￿t Intèrest
IW5
673
Page 7
¢¢ntlnued...

Ihe Gap Imldlandsl
Notes tothe Anan¢lal Statements- contlnued
for1￿ Year Ended 31 Marth ZOZ5
NETINCOMVIEXPENDITUAEI
NetIncOrn￿(emp¢nd1ture> Is ststsd aftef char8lnVlcredltln81-
3L%2S
31.3.24
Deprecbltlon-owmed J55ets
480
TRUSTEES. REMUNERATrON AND 8ENEFITS
Th•rt were trustees, remunerntlon or other ￿*￿elIts for th• year ended 31 M•rch 2025 nor for the wr end•d
31 M•r¢h 2024.
Trn•tett' •xp•ns•s
There were no trustees, Qynsos ￿ld forthe year tnded 31 Mar¢h 2025 norfor the yearended 31 March 2024.
STAFF COSTS
Tho i¥orny monthty nyrnber ofemployees durlngthe y•br w•$ •slollows'.
31.3.25
31.3.24
Admlnbtritl¢
No empbytts frf•fv•d emolsJments In excess of £60I1W.
COMPARATIVES FOR Tht SYATEMENTOF ￿NANC￿L AcrNmES
Unrestrfcted
funds
Ae>trtckd
funds
Total
funds
INCOMEAND ENDOWMENTS FROM
Donath)ns •nd1•8•cles
92.585
6.IrKI
98.685
Othef trndlniartlvltl
Inv•stynefftt Incom•
673
673
Tot41
93.258
(100
101.358
EXPEtIDITURE ON
Rèlslnilundj
5.459
5.459
Ch•rltabl• 1¢￿VIt[•S
- expendbture
28,776
30,636
Tot
34.235
36,095
NETINCOME
59,023
6,240
65,263
AECONcfuATION OF FUNDS
Total funds brouBht fo￿ard
IL6101
5,820
3210
TOTAL FU1405 CARRIED FORWARO
56,413
12,0
68,473
Paee 8
contlnuÉd...

ThÈGap IMTdlands)
Note$to the Fknndal 5tatements-contlNed
for the Year Ended 31 Marth 2025
TANGIBLE FIXED ASSÉTS
Flxtures
and
Computer
equlprneni
Totsls
At l Aprfl 2024 and 31 March 2025
5A4S
DEPRECIATKIN
At l Aprfl 2024
Charge foryear
751
360
At 31 March 2025
L530
4365
14ET B<)OKVALUE
At 31 March 2025
250
At 31 March 2024
334
1,440
DEBTORS: AMOUNTS FALLING DUÉ WIIHIN ONEYEAR
31.3.25
31324
Trade debtors
Other debtors
I￿28
4A43
2.652
671
2.652
CREDITOR&. AMOUNTS FALUNG DUE WIThIN ONEYEAR
313.Z5
31.3.24
Tradecr•dltors
Sc<lal sewrfty and othertaxes
Othercredltors
A¢¢rued e¥per
1.533
525
42
720
2,XlZ
2,754
IL
MOVEMENYIN RINDS
Net
movemert
In funds
Transfers
between
At
313.25
At 1.4.24
Unrestrlct4d lunds
Generalfund
Emergeryfund
46A13
10.000
132191
(5.000)
5,000
15AIOO
56A13
13219)
53.194
Restrlded fund5
Headspace Prolert
Youth Worker
Venue Games
Hollday Workshops
Tralnlr¥
2XII
7J56
9859
16A15
874
400
1.129
L129
24J24
TOTALIUNDS
68N73
9.Z45
77,718
Pa8e9
coThtIMed...

The Gap {Mldknds1
Ngtes tothe Hnan¢lal Slatements. mntlnued
fortheyear Ended ai March 2025
ii.
MOVEME1￿ IN RINDS- Mntlnwd
Net mo¥•ment In funds, InrludEd In thE at>)ve are 05 follows:
Incomlr
r•sources
Resour
expended
Movernent
In fund5
UnYes¢rlct•d funth
Ge￿￿TfUnd
31.741
P4J611
13.2191
R•rtrl¢tsdfund•
Head5￿Ce Prolett
Youth Workèr
Venue Games
Holldjyworkshops
Tfalnln8
IIW91
142771
12561
2.801
7,356
11.633
Ll29
20￿3?
17.57Jl
12A64
TOTAL FUNOS
SL779
142.$341
C•mpratl¥wfoT n)¥ernent Infvndi
Net
movèment
In fvnds
Trnnsfers
etween
funds
At
31.3.24
At 1.4.23
Vnr••trl¢t•d fvndi
Gener•1 fund
Ernery•ncy fvnd
Il6101
59,023
Iio,CA)DI
io.ooo
46.413
10,000
12.6101
59.023
56,413
R•rtrthdf¥nd•
Hiad5Pltè Prolert
Youth Woik•r
Vénue Games
1.361
4,459
1,144
2,$05
9A59
96
96
5,820
6.240
12,060
TOTAL FUNDS
3,210
65.263
68,473
omparitlve net movement In fund4 Included In ibove •re as foll¢wo:
Incomlni
r•sourc•s
Resources
expended
Movement
In funds
11nre￿I(I•dIund1
Gen•r•lfvnd
93,258
134,2351
59,023
Rertrk¢edluMIs
Headspace Pfoject
Youth Worker
Venue Game5
11.8561
1.144
96
8.l¢XI
11,8601
6,240
TOTAL FUNDS
101,358
136.0951
65,263
Poge 10
coniinued...

Theeap Imldknthl
Notesto tho Nn?ndal Stst¢rnents- Eonttmied
for the Yegr Ended 31 Marth 2025
RELATEO PARTYOISCLOSURE5
Thérn wEre no related p4rtytran5JrUor￿ forthEyear ended 31 March 2025.
Pyll

forthe YearEnded 31 Marth ZOZ5
3La25
31.3.24
Donatk>ns and leyths
Danations and g￿ts
Incomet•x retovertd
Grants
Donated goodsand facllllles
57,255
2.652
iO,IL
28,678
2J92
27JU
Fundra151nge¥ents
Deposlt atwunt Intsrest
673
Tot•1 hKomlns resw
5L779
101.358
EXPENOITURE
Ra551n8donatlow and l•8ad
Fundratslnga8ents
5.459
Wages
Venue runnlng costs
Volunteer ¢05ts and expenses
Phones and
AdrnIo￿trntlofi and otlw
Depreclatl¢M 0fta￿￿e fixed assets
34141
907
237
4,647
481
777
29.940
Ir*endenteumlr4
Tothl re￿￿rcestXpended
42J34
36.095
Net In¢om•
9345
65,263