Registration nUM￿r.. 06113654
Radcliffe Borough Community Trust Limited
(A company limited by guardntee)
Annual R¢N)rt and UnaUdi￿d Financial Statements
for the Year Ended 31 May 2024

Radcliffe Borough Community Trust Limited
Contents
Company Information
Directors, Re￿)rt
Accountanis, Report
3to4
Profit and Loss Account
Statement of Comprehensive In¢ome
Balance Sheet
Staiemeni of Chan8es in Equity
Noies 10 the Unaudiled Financial StsiemenL8
9t0 11
IXBRL Detailed Profit and Loss Ac¢ount
12

Radeliffe Borough Community Trust Limited
Company Inforniation
Dirertors
P J Lofthouse
B F Manning
M Mccabe
B R Quam)by
Compiny seeret#ry M Mccabe
Reglstered offlet
Radcliffe Borough Fooiball Club
Stsinton Park Pilkinton Road
RadcliFTe
Manchester
M263PE
Atcountants
Xeinadin YoTk5hire & North East Limited
Unit 268. Springfield Commercial Centre
Bagley Lane
Farsley
Leeds
LS28 SLY
Pag¢ I

Rad¢liffe Borough Community Trust Limiled
Report of the Trustees for the Year Ended 31 May 2024
The directors present their r¢port and the fir￿n¢la] Sta￿ments for the year ended 31 May 2024.
Directors of the eompgny
The direciors who held office during the year were as follows..
P J Lofthouse
B F Manning
K Mccabe {ceased l Jun¢ 2024)
The following directors were appointed after the year end..
M Mccabe- Direcior {appoinied l June 20241
B R Quannby {appoinied 31 O¢iober 2024)
Sm811 companies provislon stxt¢mtDt
This report h*5 b¢¢n prepared in accordan¢¢ the special provisions rel￿1n8 w ¢ompanie$ subject to th¢
small companies Tegime within Part 15 of the Companies Act 2006.
Approved and auihorised by the Board on 10 February 2025 signed on its behalf by..
M Mccabe
Director
Page 2

Accountants, Report to the Board of Directors on the Preparvdtion of the Unaudit¢d
Statutor>' Account5 of
Radcliffe Borough Community Trust Limited
for the Year Ended 31 MYdTr 2024
In order to assist you to fulfil your dllti¢5 under the Companies Aci 21)06. we have pr¢pared for your approval
th¢ a¢cowits of RadclitTe Borough Community Trusi Limiied for the year ¢nded 31 May 2024 as sei out on
pages 5 to I l from the company's accounting records and from inforrnation and explanations you have given u5.
Thi5 Teport is made solely ts) th¢ Board of Direciors of Radcliffe Borough Community Trust Limited, as a body,
in accordance with the teTm5 of our engagemeni leller dated l June 2019. Our work has been undertaken solely
to prepare for your approval ihe accounts of Radcliffe Borough Community Trust Limited and state those
matters that w¢ have agreed to siaie io th¢ Board of Directors of Radcliffe Borough Cornmunity Trust Limited.
as a body, in this report in a¢¢ordance with ICAEW Technical Rele￿ 07116 AAF. To the fullest ex￿nI
permitt¢d by law. we do not a¢¢¢pt or assume responsibiliry to anyon¢ other than Radcliffe Borough
Community Tn￿( Limiied and its Board of Directors as a I￿Y for our WQTk or for this report.
It is your duty to ensure that Radcliffe Borough Community Twst Limiied has kept adequate accounring records
and to prepare siatuiory accounts that give a rrne and fair view of ihe assets, liabilities, financial position and
loss of Radclifye Borough Community Tn￿( Limited. You consider thai Radcliffe Borough Community Trust
Limiied is exempt from the statuiory audit r¢quiremeni for the year.
We have not been instructed io carry oui an audit or a review of the accounts of Radcliffe Borough Community
Tn￿t Limited. For ihis reason. we have verified the accuracy or completeness of the accounting record5 or
infomiaiion and explanations you hav¢ given to us and we do noL therefore. express any opinion on the
siaiuLOry a¢counts.
Independent ex#mln¢rs report to the truslees of Radeiiif¢ Borough Community Trust Llmlted ('The
Cornpany,)
l Teport to the charity trw¢¢es on my examination of the accounLS of the Company for the year ended 31 May
2021.
Responslbllltle$ basls of report
As the charity 1rn5tee5 of the Company (and 41s0 its Directors for the purposes of Company lawl you are
responsible for the preparation of the a¢¢ounts in accordance with the requirements of the Companies Act 2006
{'the 2006 Act,).
Independent examlners stAtern¢Dt
I have completed my examination. I confinn that no matters have come to my attention in connection with the
examination giving me ¢4we to believe.
l. Accounting records were not kept in respeci of the CompAny as required by section 386 of the 2006 A¢t: or
2. The accounts do not accord wilh those records.. or
3. The accounls do not comply with the accounting requirements of section 396 of the 2006 Companies Act
other than any requirement that the ac¢ounts give a true and fair View which is not a matter consideTed as part of
an irhdependeni examination- or
4. The accounts have noi been prepwed in accordance with ihe meth￿$ and prin¢iple5 of the Statement of
Recommended Practice for a¢countiThg and reponing by charities 18pplicable to charities preparing their
accounts in accordanc¢ with the Financial Rerx)ning Stsndard appIl￿ble in the UK and Republic of Ireland
(FRS 10211.
have no concerns and have come across no other rnallers in connection with the examination to which atteniion
should be drawn in this report in order to enable a proper understhnding of ihe accounts lo be Tea¢hed.
Page 3

A¢countants' Report to the Board of Directors on the Preparation of the Unaudited
Statutory Aecounts of
Radcliffe Borough Community. Trust Limited
for the Year Ended 31 May 2024
¥_..hkn c.
Xeinadin Yorkshire & North E&si Lirnited
Unli 26g. Springfi¢ld Corntnercial Centre
Bagley Lan¢
Farsley
Le¢ds
LS28 SLY
10 February 2025

Radcliffe Borough Community Trust Limited
Profit and Loss Aceouni for the Year Ended 31 May 2024
2024
2023
Not¢
Turnover
51.716
69.920
Cost of sales
{24,696)
30.763
Gross surplus
27,0?0
39.157
Administrative expenses
Operatin8 (defieitllsurplus
(30.911)
{27,586)
(3.891)
(tkficitysurplus before tax
(3,891)
Tax on {lossyprofit
12,198
IDefiCIt)Isurplus for the financial year
3.891
9.373
The above results were derived from coniinuing oper4tions.
The ¢ompany has no recognised gains or losges f(* the year other than the results above.
The n(Aes on pages 9 to I I forni an inregral part of these financial 5tateTnents.
Page 5

Radcliffe Borough Community Trust Limited
Statement of Comprehensive Income for the Year Ended 31 May 2024
2024
2023
{DeficitVsurplus for the year
3.891
9,373
Total ¢omprehensive income for the year
(3,891
9,373
The noies on pages 9 to I I form an integral part ofthese financial statements.
Page 6

Radcliffe Borough Community Trust Limited
(Registration number: 061136S4)
Balan¢e Sheet as at 31 May 2024
2024
2023
Note
Current assets
Debtors
Cash at bank and in hand
8.663
16.099
6,456
11,955
24.762
Creditors.. Amounis falling due within one year
N¢t #￿ets
15.510
(5.2681
9,252
13.143
Reserves
Retained eamings
Surplus
9.252
13.143
9,252
13.143
For the financial year endirtg 31 May 2024 the company was entitled io exemption from audit under section 477
of the Companies A¢t 2006 relating to small companies.
Directors, respon5ibilities'.
The members have nol required the company io obthin an audit of its accouftts for the year in question in
actordan¢e wilh section 476: and
The directors acknowledge their responsibiliiies for complying with the requirements of ihe Aci with respect
to accouniing re¢ord5 and the preparnion of accounts.
These financial siat¢m¢nts have been prepared in accordance with the Special provisions relatin8 10 ¢ompanies
subject to the small ¢ompanies regime wiihin Part 15 of the Companies Act 2006.
Approved an
rised by ihe Board on 10 February 2025 and signed on its behalf by-
M Mccabe
Director
The notes on pages 9 10 1 I fomi an inte￿] part of these financial siatemen(s.
Page 7

Rad¢liffe Borough Community Trust Limiled
Statement of Changes in Equity for the Year Ended 31 May 2024
Retained
earnings
Total
At l June 2023
Deficit for ihe year
13.143
(3.891 }
13.143
{3.891)
At 31 May 2024
9,252
R¢t8ined
¢4rnings
9,252
Total
At l June 2022
surp]￿ for the year
3,770
9,373
3,770
9.373
At 31 May 2023
13.143
13,143
The notes on pages 9 10 1 I forni an integral part of these financial 51atements.
Page 8

Radcliffe Borough Community Trust Limited
Notes to the Unaudited Financial St21ement5 for the Year Ended 31 May 2024
l Gener81 inforrnalion
The company is a company limited by guaranttt, incorpordted in England and Wa1¢5, and consequently does
not have share capttal. Each of ihe members is liable to contribute an amount not ¢xc¢eding £Nil towards the
assets of the company in the eveni of liquidation.
The addr¢ss of ils regis￿led o￿l¢t s-
Radcliffe Borough Football Club
Siainton Park Pilkinton Road
Radcliffe
Manchester
M26 3PE
These financial siatements were auihorised for t￿￿¢ by the Board on 10 February 2025.
2 Aeeountlng poli¢les
Summary of signil]e#nt #ttounting policies #nd key aecountln% es1irn*tes
The principal accountin8 poli¢ies applied in the Preparation of th¢se financial statements are set out below.
These policies have been consistenily applied to all the years presenied, unless Otherwise 51ated.
Statemenl of compliance
These financial statements have been prepattd in a¢¢ordance with Financial Reporting Standard 102 Section IA
smaller eniiiies - The Financial Reporting Standard applicable in the Uniied Kingdom and Republic of Ireland,
and the Companies Act 2006 las appli¢able io companies subjeci io the small ¢0M￿nieS, regime).
Basls of prepar41ion
These financial statements have been prepared usit18 ihe historical Cost convention excepi Ihai a5 disclosed in
the accouniin8 poli¢ies certain items are shown at faÉr value.
Going concern
The finan¢Éal Statements have been pr¢pored a going concern blsis.
Revenu¢ r¢¢ognition
Turnover comprises the fair value of the con5ideryJtion received or receivable for ihe sale of goods and provision
of services in the ordinary course of the ¢ompany'5 activities. Turnover is shown net of saleslvalue added tax,
returns, rebates and discounts.
The cornpany recognises revenue when:
The amount of revenue can be reliably measured;
it Is probable thai fi]ture economic benefits will flow io the ¢ntity-
and specific criteria have been met for each of the company's activities.
Tax
The t&K expense for the peri(Kl comprises ￿x. Tax is recognis¢d in profit or los4 except that a change
attributable to an item of income or expense recognised &5 other comprehensive income is a150 recognised
directly in other comprehensive income.
The current income charge is calculated on the b&%is of tax rntes and laws that have b¢en enacted or
subsiantiyely enacted by the rewrting dale in ihe countri¢s where the company operates and generates thxable
income.

Radeliffe Borough Community Trust Limited
Nol¢s to the Unaudited Financial Slatements for the Ye8r End￿ 31 May 2024
Cash and cash equivalents
Cash and cash equivalents Comprise cash on hand and call deposi￿ ond other short-ierni highly liquid
inVest￿ents thai are readily convertibl¢ to a known amouni of cash and are Subject to an insignificant risk of
change in value.
Trade debtors
Trade debtors are amounts due from customers for merchandise sold ty services F*rforn)ed in the ordinary
course of business.
Trdde debiors are recognised iniiially ai the irdnsaction price. They are subsequenily measur¢d at atnort15ed cost
using the effective interest meihod. less provision for impainnent. A provision for the impainnent of trade
debtors is established when ihere is objective evidence thai the company will not be able to colleci all amounts
due according io the original t¢nns of the receivables.
Trade creditors
Trade cr¢ditors are obligations io pay for gO￿S or services thai have been a¢quired in the ordinary course of
business from suppliers. Accounts payable are classified as current liabilitie5 if ihe company does noi have an
unconditional right, ai ihe end of the reporting period. io defer settlem¢ni of the creditor for at least twelve
months after the reporting dale. If there is an unconditional right to defer Settlement for at leas( Iwelv¢ months
after the reporting date. they Ore presented as nort<urreni liabililies.
Trdde creditors are recogni5ed initially ￿ the transac¢ion price and sulwuently meLwred at omortised cost
using the effeciive iniere5t rneihod.
3 Debtors
2024
2023
Current
Trdde debtors
Prepawnents
Other debtors
365
960
3,298
5.496
8.663
6,456
Page 10

Radcliffe Borough Community Trusl Limited
Notes to tbe Unaudited Financial Statem¢nt$ for Ihe Year Ended 31 MAY 2024
4 Credltors
Creditors: #mollnl$ falling due within one year
2024
2023
Due within one ye#r
Trade crediiors
Taxation and social security
Accruals and deferred in¢ome
Other creditors
16,0001
9.558
1,560
150
7,650
1,860
15,510
5,268
S Related p#rty trnn5actlons
Summary of tran$a¢iions wlth p*reTrt
Ai 3 1st May 2024. the company was owed £3,298 (2023 £5.946) by RBFC Limiied, the company's parent.
Sumrn4ry of transactlons wlth S￿0¢141¢5
At 31st May 2024, the company owed £7.650 (2023 £7,650) to Radcliffe Borough Sports & Social Club
Limited, th¢ ¢ompany's associate.
Pagell

R2d¢liffe Borough Community Trust Limited
IXBRL Detailed Profil and Loss Account for the Year Ended 31 May 2024
2024
2023
Turnover
In¢om¢ & Sale5
Grdnts and subsidies
48.716
3,000
56,320
13,600
51,716
69,920
Cost ofssles
Pur¢hase5
Pete Tuition
2.316
22.380
8.103
22.660
24,696
30.763
Gross Profit
Gross Profil (Oh)
27.0?0
39,157
Gen¢ril administrative expenges
Rent and rates
Facilities Hire
Repairs and maintenance
Telephone and fax
Computer software and mainienance ¢05ts
Printing. postage and stationery
Trade Subscriptions
Sundry
Travel and subsisi¢n¢e
A¢¢ounlallCy fees
Bank charges
29,000
(3,5(H))
212
445
1,791
187
40
153
435
.950
198
24,000
1,274
2,040
182
30,911
27,586
Operating (deficiiysurplus
{Deficitysurplus before lax
3.891
3,891
This page does noi forn) part of the stknitory financial statements.
Page 12