ROBINSON UDALE
Financial Statements
The Institute for Outdoor Learning (Company Limited by
Guarantee)
For the year ended 30 September 2025
*AF3GRB?F*
OYC612026
COMPANIES HOUSE
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ROBINSON UDALE
Contents
Membèrs ofThe Board, Sènior Staff & ProfessionalAdvisers
TrusteesAnnual Report
Independent Examiners, Report
Statèment of Financial Activities lincludingincome and expenditure accountl
Balance Sheet
Approval of Finanoal Ststernents
10 Notes to the Financial Statements 1-8
14 Notes to the Financial Statements 9- 14
16 Notes to The Financial Statements 15- 17
P4•2￿1G

ROBINSON UDALE
Members of The Board, Senior Staff & Professional
Advisers
The Institute for Outdoor Learning (Company Limited by Guarantee)
For the year ended 30 September 2025
Cornparby regi5¢ration number. 07534418
Charity numb•r. 1149420
Scottish chaiity number. SC039561
The board oftrustees
Mr B Kitson-ChairolTrustee5
Mr N O'Loughin
MrDJCook
Mrs L Edwards
MrA W Robinson
Mr S J Randles
Ms H C Crawford
Mr J Whittakèr
Mr A Gurden- resigned l April 202S
Mr M Lavington- resigned i April 2025
Mr M King- resigned l May2025
Registered office
Warwick Mill Business Centre
Warwick Bridg•
Carlisle
CA48RR
Examiner
Danny Ropei
Robinson Udale.
Chartered Accountants
The Old Bank
41 KTrng Street
Penrith
CAII 7AY
Bankers
Unity Trust Bank PIC
Four Brindleyplacè
Birmingham
BI 2JB
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ROBINSON UDALE
Trustees Annual Report
The Institute for Outdoor Learning (Company Limited by Guarantee}
For the year ended 30 September 2025
The directors of thecompany are also tharitytrustee5 forthe purposes of charity law. It 15 my pleasure as Chair isto
present this reportgf the charity in accorliantè with thÈArticles of Association.
The trusteès who served the charity duringtheyearand sincethe year end ale as follows with their newly agreed
'Area of Focus.,
Chair- Brian Kitson
Vice-Chair-Louise Edwards
Treasurer- Steve Randles
Secretary- Vacant
Voice- Andy Robinson
Community-vacant
Workforce- Heather Crawford
Standards- Dan Cook
Volunteers- Nick O'Loughlin
Marketing& Comm5- Jim Whitaker
Fundraisithg & Projects- Vacant
ObjertivesandActlv5tles
The Institute for Outdoor Leamingexists to champion high quality outdoor leamin& supporting individuals and
organisations to deliver Safe, inclusive and impactful experiences. Through professional recognition, trainin&
resèarch and advocacy. the Institute works to ensurethatoutdoor leaming makes a full contribution to individuals,
society and the environment.
Strategi¢ ￿velOPMent and Perforniance
This year marks the completion ol the Institute's three-year strate￿.¢ Development Pian. Develope(I during a period
of uncertainty. the plan setoutj clear pathwayto stsbilise and strengthen the organisation.while building capacity
for future growth.
Following a period of consolidation, l am pleased to report thatthe Institute has delivered ègain5tthe objettive5 set
out in the plan and has relumed to a srnall surplLt5. Thi5 refiects improved financial oversight. careful management
of resources and è strengthened operating model.
Digital Development and Membership
A significant f¢xu5 during theyear has been the continued development olthe'Ready Membership. platfomi. This
has requir￿ considerable Énvestment in both time and financial resources. reflecting the Institute's commitment to
modernising its offerand improving accessibility for mernber5.
The platform provides secure and efficient access to integrated seThices. includingevents. networking. website
functionality and rnefflber services. The website now attracts an averageof32.OW visits per month enablingclearer
Communication of the Institute's services and opportunities.
The impact ofthis work is evident in improved memberengagement. Organisational membership renewal rates
have strengthened, with 82% renewingearly, and the overall churn rate has reduced to 0.9%. the lowest recorded.
In addition, 73% of individual members now pay via digital Oirect Debit. reflecting3 shifttowards more streamlined
and sustainable processes.
The Institute currently supports over500 organisational members and 800 indi¥idLral member5,With an èstimated
reach of over 17.000 across the outdoor learning Sector.
Supportingthe Sertor
The Institute contlnues to providè a wide range of supporttothe sector. This includes an extensive prograrnme of
online delivery, such a5webinars, workshops, surveys and CPD resovrces. alongside increased levels of
engagement across Ouf communities alongside. lobbying and representation activity.
Overthe past ￿ar, 68 ￿ents have been delivered. engaging more than I.5￿ delegates, while ovèr 71,000
newsletters have been distributed to members and stakeholders. These artivitie5 are 5UPPQrted by a broad
communications approach. including quarterly publications. blogs, Social media and conlerence presentstions.
The Institute's work continue5 to influence polity and practice, supportingthe development of a skilled, confident
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ROBINSOH UDALE
and d￿e￿A￿l0rkItrCe acrossLwtdwrle•min& Duri￿theYe1r.thes￿[le ofevidente b3sed guidesto hryh qualty
outdoorleaming have been addedto and a￿a￿ailable0Th the public wetsiteand Ireetodovmltrad.
A key highlighi oftheyeJrw•sthesLxctsslul preparation ofthelntemattonalonline ConfererKeforGlobal Outdo¢y
Learning Day. Taking placeacr1>55 giobaltirnezones and connecting part￿Pants1￿M eight continents,the
conlerence isprv¥Tdin8 a lorcdlaboration.kno*Wgeexchayandshared leamlnglrom multiple
Cul￿131 perspertive
The5uccessotthise¥¢ntrenectsthe grwMyurternatKm•t mthand influenteofthelnsdtutr•nd relnfryces it5
roleas o globalconvenorfor the sertor.
Publicati•n5and Rwar<h
Duringtheyear.the Institute re5p)nded t0￿mberfeQdb3ckty rfurnbn8HoriwrsrnapzinetO FrfiDL Each
quarter, ¢JverlaLXI copie5awpd15tritMrted U51Trgfvlty￿P0stsbkpaCkaK1nI. prowdingavalued resou￿e10Tthe
The JourThalolAdvert￿￿ Education and Outd(wLeamifigc4ntinuesto pafonnstrongiyl wrthover201MW article
dovmloads recordod in theyeaf, representlng a 68* in¢wse ￿nce 2Q21. Thls growth refleusirue•sin8
internath)nal recogn￿0￿ ofthe Insti￿te asa pubkS￿rOf hl8h-qualiiy research. High ￿alty Outdoor Learning-a
guide forallwaspublished on Global Outdoor Learn1r￿DaYto celebrate the powerful impactof the outdo)r50n
¢￿￿￿11￿n ond per5onl de%%4opmenL l•th sI￿jfiCanl5QCieta1 c1￿1[enge$ indudingilimatechange.equallty&
diversityin theoutd¢y¢r& mental he41th and wdlbein& thIs￿l4¢sets0U1wh* g[￿1 praaicelookslike.supportinK
practlttoners and prnviders th deli¥erthe bestposgbleoutcomestotheirparticipants.
Prnfqsth•n•lSt4ndard¥
The ln5tltutecantynyestDdelr￿ wofe55iiKwI K(rediWon, with rwrty 1,500 txxtilioneraw•rdsdeli¥wed to
date. Duringtheyear. •directentsy route tothe Leading Practits￿eT ILPIOLI award wasdeyelopedand launched in
April 2015, re5pondin8to mernberfeedback andsupported tythe LPIOLCornmunityofPrartice.
ThelQL Round Table continue5to bringtoy1herrepresen￿l￿sfrOM •u055thecornmunityto
(offlrnunication and ensure member inputintothe Irsbtirte'sstrategic dirertion.
rJowm•vK••NI f•nantI￿R•¥1•￿
Thetrustees undertaken a rE¥ivATofg0￿n•nce arranymertsduringtheyearto e￿Ur¢thatstrU(tureS
remain rotsJs¢effectNeandfftforpufPOSe.This has included strenyheTrin8oversight.clarfyin8roie5 and
enhartcingdetision-rnaknngproces5e
FIna￿la1(0ntffj1s have been a parritularfocu& Imprty4eM*￿lfi bwJ8etin& rI￿nIt￿l￿sar*d finarKi•l reporting
have provided greatertransparerKy3nd a(Co￿￿bIllty. These mea￿￿ haN* contritwted direcdytothe
oryanisation's improved financialpoyllofi and the retum tr*0 ￿J￿5.
The trustees considerthatthecharityis nowwwatingon a morost•blefinancialfooiin&wlth syrttsmsin placeto
support5UStainablegrry*tlL
t¥r• De￿ftts
With thecompldi¢)n Of￿ cumtstratewtpi•n and ddiveryofitsopentimal roadmap.thtln5titute iswell
positioned tomove 1nt0thenextphaseofde￿tsPn￿IL Thefocuswiilboon buildirtgonthe pf¢yessmade.
attendingtothedetsil ollOL core fvnctionsand extendingits offerand growthng its partnerships. The Institutels
workingto ehsure its credibilty across the sectorand rtswiderinflw￿eWheTr ad4*xatln8forhi8h qualtyoutdoor
Leamin& Attht hearttsf the Insiiiute's svategit pIar￿1￿8 isensuringl¢)ftg-term financiaL e￿￿Onmentaland
operational sustainabil￿-
Theiwsteeswould likeioMa¢eofft record li*irthonks ttsthestsff team. members.volunleer5 and pathetswh05e
Conty
amiitmentand sukiport undeiw.fi thesuccessofthelnstilute. Thelrenew•nd engag*ment romain
•.deliwryofthe hu¢iiutE'50bi*¢kn¥
Brian Xitsofi, ChalrofTn&ea In￿lt￿tf￿￿rtdOts[L￿nlNg
22nd April 2026
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ROBIIISON UDALE
Independent Examiners, Report
The Institute for Outdoor Learning (Company Limited by Guarantee)
Forthe year ended 30 September 2025
INDEPENDENT EXAhllMERS' REPORTTOTHE TRUSTEES OFTHE INSTWWTE FOR OUTDOOR LEARNING
CHARITABLE COMPANY
I report on the accounts ofthe ¢ompany f0rt￿yearendtd 30 September 2025. which are set out on pages 9 to 18.
RESPECTIVE RESPONSIBILITIES OFTRVSTEESAND EXAMINER
The Trustees Iwho are also dirertw of the company forthe purposes ofcompany lawl are responsible for the
preparation of the accounts. Thetrusteesconsiderthat an audit is not requirèd forthis period under section 144121
of the Charities Act 2011 (the 2011 Artl, that the audit requirernent of Regulation 10111 lal of the.Charities Accounts
(Scotlandl Regulations 2006 does not apply, and thatan independent examination is needed. Having satisfie(I
myself that the charity is not subjectto audit undercompany law and iseligiblefor independent examination, it is
my responsibility to..
examine the accovnts undersection 145olthe 2011 kt and undersection 44111 {¢) ofthe Charities and
Trusteès Investment IScotlandlAct 2005,.
to follow the procedures laid down in the general directions given bythe Charity Commission undersKtion
14515llbl ofthe 2011Act,' and to State whether particular matters have come to my attention.
BASIS OF INDEPENDENT EXAMIMER'S REPORT
My examination was carfTed out in accordance with the genernl Directions ￿'ve￿ by the Charity Commi55ion and in
accordance with Regulation 11 of the Charities Accounts (Scotlandl Regulations 2006. An examination includes a
review of the accounting record5 kept bythe charity and 3 comparixin of the accounts presented with those
records. It also includes consideration ol any unusual iterns or disclosu￿$ in the accounts. and seeking
explanations from you as trustees concerning anysuch matters. The procedures vndertaken do not provide all the
evidence thatwould be requiretd in an audit and consequently no opinion isgiven as to whethÈrthe accounts
present a.true and fairview. and the report 15 limited to those matter5 set out in the statement.
INDEPENDENT EXAMINER'S STATEMENT
l. which gives me reasonable cause to believe that in arw material respettthe requirÈments=
to keep accounting records irtr accordance with section 386 oftheCompaniesAct 2006, section 44 Illlal of the
Charities and Trustees Investment1Scotlandl Art 2￿)5 and Regulation 4 of the Charities Accounts Iscotlandl
Regulations 2006: and
to prepare accounts which accord with the aC(￿jntlng records, complywith thearcounting requirements of
section 396 of thecompanies Aci 2006, with regulation 8 of the Charities Accounts Iscotlandl Regulations
2006 and with the methods and pfrncipais ofthe Statement of Recommended Practicè.. Accounting and
Reporting by Charities.
have not been met, or
2. to.which, in my opinion. attenti¢)n should be drawn in order to enable a proper understsndingolthe accounts
to be reachÈd.
Danny Roperj Charter¢dA<¢￿rtan1. R•biThson Vdale Llmited.The Old Bank. Penrith, CAII 7AY

ROBINSON UDALE
Statement of Financial Activities (including income
and expenditure account)
The Institute for Outdoor Learning {Company Limited by Guarantee)
For the year ended 30 September2025
TES
umos
zo
Statement of financial activities
Incoffle
Sundrydonations
In£omefromcharitable
attivities
Incomefrom generating
fund5 activities
Total income
7.451
7.451
5540
Go￿92
60,158 .
208.034
208.034
181,798
2763TI
276.377
247N96
enditure
C05tof generatinghjnds
Expenditure on charitable
117267
117,267
126.411
157,526
157,526
J83,156
Totalexpenditure
274.793
274.793
309.$66
Net Incomellexpenditurel and net
movement in lund5
162.0701
Rec¢JnciliatlODof lund5
Total funds broughtforward
I￿ornIng resources
Outgoing resources
Total fundscarried forward
12J61
79.156
139.800
2,450
15.0851
7.176
15.0851
75.655
68.479
80,180
The statement of financial activities includesall gains and losses recognised in the year. All income and
expenditure derivefrom continuingactivities.
The notes on pages 10 to 16 form part ofthese financial statemen
Pay7))f"J

ROBINSON UDALE
Balance Sheet
The Institute for Outdoor Learning (Company Limited by Guarantee)
As at 30 September 2025
NO
305EPT2•24
Fixed assets
rangibleassets and investments
Investment5
629
1.309
13131
316
Totalfixtd wets
996
Cu￿ent assets
ebtors
30.248
21.599
81,792
103JYi
Cash at bank and in hand
77,342
Totalcurrentassets
107.591
Current liabilities
Creditor5
32252
32252
24,208
24.208
Total ¢¥rr•nt Ila&11t￿$
Net current assets
75J38
79,184
Total assets less current liabilities
75,655.
80.180
The funds of the chari
Unrestricted fund5
68,479
T,176
66,894
13,286
Restricted knnds
Totalcharityfvnds
75,655
80.180
The noteson pages 10 to 16 fom part ofthese finanoal ststements

ROBINSON UDALE
Approval of Financial Statements
The Institute for Outdoor Learning (Company Limited by Guarantee)
For the year ended 30 September 2025
Forthefinancialyoarin We#*￿the(OmPanyw1S toexérnpt￿ urtdersecbon477 ofth* CompaniesAct
2006 retstingto srnall companies. No membw5 have required thec¢mparryto obtain an 3vditolitsaccoLFntsforthe
year in question in accordancevnth Sect￿476￿lhtCtsm￿nlesAtI2￿. The directors acknowledge theif
sponsibiijtyforcomptyinff ￿ththe wutreM*￿ts1theAttWIth re$￿tt03CCoUntinE record5 afidforthe
preparation•faccourrt5. These occountsare wepartd in accorthncewththe special PW*0￿ olpart IS oftt
CompmsktM6•nd*tforarculation to membetsofthecompwry.
The5efinancialststementswereappro*d bythe membernoftheconwnltteeon.. .. .
Ifty.
. y￿ares￿Ened0ft
MrBwV￿tsQft. l)irert

ROBINSON UDALE
Notes to the Financial Statements 1- 8
The Institute for Outdoor Learning (Company Limited by Guarantee)
For the year ended 30 September 2025
l. Accounting policies
The principal accounting policies adopted.judgementsand key Sources of estimation un￿rtaInty in the
preparation of the financial statements are as follows:
a) B•sis of Pr*paratk•n
The financial staternents have been prepared in accordance with Accounting and Reporting by Charities.. Statement
of Recommènded Practicè applicable to charities preparing accounts in accordancewith Financial Reporting
Standard applicable in the UK ond Republic of Ireland IFRS1021 (effective l January 20151- Icharities SORP IFRS
10211. the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS1021 and the Companies
Act 2006.
The In5titlAte Foroutdoor Leaming meets the definition ola public benefit entity under FRS 102. Assets and
liabilities are initially recognised at historic costortransaction value unless otherwise stated in the relevant
accounting policy note.
bl Récondllatlon with Previous Generally￿cepted￿CQUntl￿ Pr•¢ti¢e .
In preparing the accounts. the trustees have considered whether in applying the accounting policie5 required by
FRS 102 and the Charities SORP FRS 102 the re5tatementofcomparative itèms was required.
cl Pr•paration oltheAc(ounts on • Going Concern B•s15
TheTnJstees are of the opin¢on that thecharity is a going concern.
dl Incoming Resourc•s
Income consists ofsubs(riptions and premiums. other ￿lated income and events income. It 15 accounted foron a
receivable basis. Where income is received fora specific projert or PUTPOSÈ this income is classified as restritted.
Income received t¢)wards thegeneral objettsof the charity is classified as unrestrscted.
el ResOu￿e5 Expended
The cost of generating funds includes any direct member5hFP costs. The charitable activities, in furtheiance of the
charity's objects, included all the dl￿￿£0$ts. Thè GovÈmance costs represent profèssional fees and trustee's
expenses. Expenditure 15 recognised on an accruals basis. Expenditure includes anyVAT which cannot be recovered
nd is reported as part of the expenditure to which it relates.
fl Fixed Assets
All fixed assets used for charitable purposes. with an expected usèful life excèedingoneyear, arè tapitalized in thè
balance sheet. Depreciation is provided at the following rates in ordertg write off each asset o¥er its useful
economic life:
Office Equipment
3 years Straight Line
F￿an(la1 *atvnenty ThElnstitutoforCMrtdllurLt*wrf{Cry*yiMr*dtryfAWfrtt4 ?JI￿￿ll6

WOiEStotr*FThno4lStsteniertsi.
ROBINSON UDALE
1 Slo<ks
stocks are valued at the lowerof cost and net realisablevalue. after makingdve allowance forobsolete and slow
moving items.
h) FundAccountinE
Unrestricted funds are available atthe dixretion of theTrustees in furtherance of the charitable objectives of the
charity. Restrirted funds are subjetted to restrictionson theirexpenditure imposed by the donors.
il Remuneration
No employee received emoluments greater than £60.OLN).
Fl￿Ds
RESTrICTEPFiKIgS
2. Donations and le
acies
Donations
Sundry donations
Total donations and legxi•s
7.451
7.451
5.540
7,451
7,451
UMRESTRKVED
FUWVS
ESTRKTEDFLifiD5
1014
3. Income from charitable funds activities
Booksènd pUbli￿tIOnS
Évent rnanagement
Professional accreditation
31.662
31.662
32.491
11579
8,804
12.050
12.050
17.380
Administration 5ervice5
5.602
5.602
60.892
1.484
60,158
Total incom• frorntharit•bl*fundsartivrties
UIIRESr￿C￿ED
FufiD5
RESTHKfEDFUIIDS
2025
2024.
4. Income from
eneratin
Membership 5ubKriptions
Total inrome Irofftgeneratingfvndsartivities
funds artivities
208.034
208.034
208.034
181,798
181.798
208.034
r4walSt*thents .
JJufyaQJS
PaieLioIIG

Notostothtvinanr￿lsixQfft￿1ts 1.8
ROBINSON UDALE
20
2024
5. Costs of raisin
funds and delive
of ob ertives
Direct costs
Staff c(i5ts (note 7)
Traveland other
49J19
49,119
3528
435
47,824
3528
3,881
145
Administration
435
Mernbere¥penses
Eventsand workshops
Depreciation
Regional services
Total dire(t costs
4504
4,504
4.516
8,816
8.816
17.422
476
476
591
795
67.673
795
3.616
77.995
67.673
rt costs
Staff£osts (note71
Depr￿latI0Th
Total 5UPPOrt¢•sts.
49.119
49,119
476
49.595
47￿24
476
591
49.$95
48,416
Totslcostsof r•isiDgfvnds and deli¥eryolobierti¥es
117267
117267
126.411
FW&S
i1ESrnCVEDFiWIDS
2•25
292
6.Ex
enditure on charitsble activities
Directcosts
Publication costs
44.092
136
44.092
47.526
Books purchased
Staff Costs Inote71
Insurance
136
53
26.570
26.570
1,332
25,933
1332
1.121
Rent and seryicecharge5
Bank charge5
Databasecost
804
1.599
4,227
39,158
20,844"
6.342
19.458
19.458
20,432
6,118
310
Prolessional accreditation
20.432
IntemÈtand telephone
Subscriptions
Sundry expenses
Depreciation
.Governance costs Inote81-
6.118.
310
724
2.977
2.977
1.070
476
476
591
6.652-
.6.652
8￿29
rt ¢05ts
Staff costs Inote.7)
Totalexpenditure on ch•rit•blt •¢ti¥thes
26.570
26.570
25.933
157J26
157,526
183.156
1rd￿dIsts1Ornents I 'Thi￿SI￿vIer￿toth)OrlUrTlry(Cr*r￿liNrII￿￿tyrA￿Ir￿ 12kn2026
IlolA6

NOt*StotreFln•￿al Statern￿tsI.J
ROBINSON UDAIE
Support costs
Supporttosts have been calculated lor staff costs accordingto time spent and forothercoststhey have been
calculèted based on purpose. C05t allocation includes an element ofjudgemenL and the Charity has to considerthe
Cost benefitof detailed calculations. Therefore. the5UPPOrt costs shown are a best estimate of the costs that have
been so allocated.
V1*£5TMICTED
YMDFUIIDS
2014
7. Staff costs and emoluments
Total staff costswere asfoliows:
Wa8es- £hari13ble. support
Wèges- chaTltable, direct
Wages- 8enerating. support
Wa8es- 8enefatin& direct
Totsl
26570
26570
26570
49,119
49,119
151377
25,933
25.933
47,824
47,824
J47513
26,570
49.119
49.119
1.377
Tth* wa
intheKcounts a5 follo
staff costs undercostsolgeneraiingfunds
Staff costs undercharItable￿IW•ties
Total
98237
98,237
53.140
151.377
95,648.
51.865
147.513
53.140 .
1SlJ77
UNRESTRICTED
8. Governance costs
Accountancy
AGM conlerence and trustees
4.422
4,422
1,584
646
S,Ofrt)
2,343
.1.426
Trustee expenses
646
Totalgovernanrecosts
6.652
8.829
The average numberof employees duringtheyear, cakulated on the basis offiJll-tiw￿ equivalentswas 3.7513.75
20241.
No employee received remuneration of more than £60.OCK) duringtheyear12024.. Nill. Notrusteè received any
remuneration cluring the year12024-. £Nill other than reimbursed expenses Ireferto Note 161.
Finan¢vi15tst¢mtrits

ROBINSON UDALE
Notes to the Financial Statements 9 - 14
The Institute for Outdoor Learning (Company Limited by Guarantee)
For the year ended 30 September 2025
t5
9.Tan
ible fixed assets
Cost
Brought lomèrd
Additiens
Cathedfotward
9325
749
8.935
390
10,074
9,325
reciation
Brought lorward
Charge
Carried fon¥ard
8.016
6,241
1,77S
8,016
1,429
9,445
Net bookvalue
Carried forward
629
1.309
2ts25
10. Inve5trnents
Brought loThYard at i October2024
Carried forward at 30 September2025
13131
13131
13131
13131
The charity holijs a IOQ% shareholding in Outdoor Leaming Services Limited. The company's aggregate capitsl and
reseryes amounted to £13131 atthe yearend. Outdoor Learning SeThices Limited wa5dormantforthe full
accounting period covèring these èccoun
2025
2024
11. Debtors
Trade debtors
14,571
15.677
30.248
11,424
10.175
21.599
Otherdebtors
Tot•1
25
2ty24
12. Creditors
Trade creditors
4,501
7,918
Accruals anddeferred income
27,752
32352
16,289
24208
Toial
•n0415t*mthts :.
P•i•14•f16

Note5IDthEF1￿an(t￿1 Statemei*s9-14
ROBINSON UDALE
2029
2DZ4
13. Unrestrirted incornefunds
At l October 2024
66.894
128,964
247.496
1309.5661
66.894
IncominE resources
Out80ing resources
At 30 5¢pt¢mb¢r2025
276377
1274.7931
68.479
24
14. Restricted income funds
Caphoe5
Northern Region
Campaign forAd¥enture
AFAFoundation
1,274
2.209
1,274
2,209
1,02S
30
Outdoor Learnin
Broughtlorward
Incorningresource5
OutgoiThgre501trces
Carried forward
Stskeholdws G
8.698
6,248
2.450
15.0851
3.613
8.698
Horseshoe Quarry
Total
7.176
13,286
Caphoes This grant isfrom Buckrnghamshire Chilterns Universitycollege and h?5 been awarded for the purpose of
funding all printing and publtshing costs of the publication-shaping ihe Outd¢)or Profession through Higher
Education-
Northern Region The5efunds have been restrirted to bè used forthe benefit ofthe rnember5 ofthe areas covered
by the Northern Covncilfor Outdoor Education. Funds will be used in the region when rÈquired or may be mède
available in the event of new regionlsl ￿ingfO1Med, which are currently part of the Northem Region.
Campaigth forAdventure This lundsadministersa grant from Adventure Forest Limited TIA Go Ape. The money is
to be used to encourage a more adventurous society in thecampaign forAdventu¥e.
AFA Foundation These funds are to be used to further outdoor learning for those with disabilities, or forthe benefrt
of members of theAFA special intere51 group. Their use will be determined bythose IOL members whowere a part
of the pre-existing organization. Adventure forAII and contributed to the establishment of the fund.
Outdoor L•arningStakeholdev5 GrnupThe OutdoorAdwsory Board was fornied when the Outdoor Council
merged with us in September 2023. The money wasto be ring-lenced forworkcarried out bythe Outdr)orAdvisory
Board which ttsokover the work ofthe Outdoor Counctl.
Hors•sho• Quarry The funds relate to an acces5 projertwhich was runjointlywith anotherorganization.
FMW(i4ISt•knmenrs l
aplSolLS

ROBJNSON UDALE
Notes to The Financial Statements 15 - 17
The Institute foroutdoor Leaming (Company Limited by Guarantee
Forthe yearended 30 September 2025
FUMDS
RESTIIICTEDAJIIDS
UPIASSIGt4ED
IS. Anal
Sis of net assets between funds
Tangiblefixed assets
Net<urrentassets
316
316
68.163
7.176
75.340
75,656
T¢>t•l funds
7.176
16. Trustees
Trustees out of pocket expenses wère reimburs￿ to trusteesto theextentof £645.9012024= £1,426.01). ThÈ
Institute owns all the shares of Outdoor Leaming Seryices Ltd. None ol the trustees have a beneficial shareholding
in the company nor do they receive any remuneration for the company.
17. Company Limited by Guarantee
The liabilityof the members is limited. Every memberof the charity undertakes to contributetothe assets of the
hzrity, irt the event ofthe same being wound up while he orshe is a member. or wrthin one yearafter he or she
ceases to be a member. lor payment of the debtors and liabilities olthe charitycontracted before he or She ceases
to be a member, and ofthe costs. charges and expenses ofwinding up. and for the adjustmentofthe rights ofthe
contributions amongthemselve5, such amount a5 may be required not exceedingten pounds.
Thè liability ofeach member is limited to £10. There were 1,274 mèmbers at 30 September 202512024.. 1,198
members).
1naKv•lStat￿￿
Prfe16d16