Company registration number. 08430575
Charity regislratlon number. 1151413
Millfields Inspired
{A company limlted by gu8ranlee)
Annual Report and Flngnciol Slalements
for the Year Ended 31 Augu812025
WESTCOTTS
CHARTERIO AceouNTANTS

Millfields Inspired
Contsnts
Reference and Adminislraliva Detalls
Trustees, Report
2to7
Independent Examinerf8 Report
Statement of Finandal Adlvhie3
B818n¢e Sheet
10
Notes to the Flnancial Statements
11to23

Millfields Inspired
Refarance and Administrative Details
Chalmian
Mr A Botterill
Trustees
Mr A Botterill
Mr P Q Barfow
Dr S J Felmingham
Mrs J Ellard
Ms N Sarfaka
Mr S Robert8
Ms H J A Devlin (appointed 26 September 20251
1151413
Charty Règlstratlon Numbor
Company Reglstrallon Number 08430575
R•glst•r•d Offico
HQ Business Centra
237 Union Street
Slonehouse
Ptymoulh
Oevon
PL1 3HQ
Matthew Keane FCCA
Independent Examlner
We8lcotts (SW) LLP
Plym House
3 Longbridge Road
Marsh Mi118
PlymoLrth
Devon
PL6 8LT
Page 1

Millfields Inspired
Tru5tees' Report
The Iruslees, who aro directors for the purposes of LL)mpany18w, present the annual report 10getheT
with the financial stalem8nts of the charitable company for the year ended 31 August 2025.
Objectlve5 and activitios
ObJ4cts andalms
1.1.1 To advance the education of young pe¢¥le aged under 25 within the Clty of Plymouth, with a
particul8r emphasis an the neighbourhood of Slonehouse I'the Area of Benefif} in such ways as the
Trustees think fil including {wilhoul limitation).. 111 Supportlng them in prepar81ion for entry into any
occupation. trade or profession on leaving any eslablishmenl,. (21 Providing support and activitie5
which develop their skills and capabilities lo enable them lo part￿Ipate in society and mature as
responslble indiwdu818',
1.1.2 To provide or 8881st in the provlsk)n of facilit￿8 in the interests of social welfare for recreation or
olher18isure lime occupation for people living in the Area of Benefit who havo need of such facilrties
by reason of their youth, age, infimrty or disability, financial hardship or Social or economic
circumstances wlh a ¥Aew lo improving the conditions of lrfe of such persons.,
1.1.3 For the public benefit to promote learning for people longer in full lime educatKJn andlor
employment through continued development of Ihelr individual capabilities,. and
1.1.4 The relief of unemployrnenl for the benafil of the public In the Area of Benefrt in such ways
the Trusle8s think fil including assistsnca to find employment,
1.2 This provision may be amended by 8pec181 resolution bLrt only wlh the prior wrrtl8n consent of the
Commission.
The mBin 8CtNity In support of the objectives is the running of a programme entitled Wldening
Horizons. The prolecl works with year five children in the Slonehouse and Devonport, providing Ihem
inspiration81 experfences linked lo the world of work. The programme enables children lo gain an
insight Into professions and careers and importantly the roule through to these careers. It does so by
either by taking children out lo visrt workplaces, or by bringing prDfessKJnals into the classroom. The
programme will enable children lo make the link be￿een Ihelr educallon and their profegsional
careers and enable them lo make more informed decisions. In doing so it will increase their ski118 and
molNallon lo succeed.
P8ge 2

Mlllfields Inspired
Trustees, Report
Achlevements and performance
Wldenlng Horizons programme
This year, we delivered the Widening Horryons programme acTOSS all 10 of our schools In Stonehouse
and Devonport, as well as Whit￿igh Primary. In total. we ran 82 sessions reaching 287 children,
introducing Year 5 pupils to the world of work. We are grateful for the support of our programme
partners. including Sherford, Fool Ansley, EE, Market Hall, the National Marine Aquarium, Cattewater
Harbour Commissioners, Ar8mark Catering and the Murray Group. among others.
Insplre M8 programme
We planned and delivered 61 in4lass sessions acros8 nine of our schools In Slonehouse and
Devonport. These sessions provided pupils from Foundation Stage through to Year 6, excludlng year
5 wf(h curriculum-based experience8 exploring the wodd of work. Headteachers highlighted the valuè
of introducing Ihl8 additional support from Foundation Sla9e orwards, particularly in holping lo
develop children'8 aspirations. confidence and resilience, and welcomed the opportunity for every
class lo access 8 range of different experiences. The following partners supported delivèry of Ihbs
programm.. Royal Navy, City 8u$. Kier Bam, Babcock. Police, Ptymouth Literacy Prqecl and
Univgrsily of Ptymoulh Medicgl Students.
Connectlng CommunStle¥ Programme
We inilialed 8 new programme In Sept 2023 with the go81 of connecting indlviduals in our
communiti88 and nurturing ralatlonships. As part of the programme, we arranged the foll￿ng
events:.
Int8rgen•ratlonal Project- Generatlons Together
Our work seeks lo provide support for those in our communlty with connactedness so that both
children and young people develop supportive Telalionships with others and build conf￿ance, respect
and resilience. This helps lo f051er ski115, improves feelings of 88fely, and r8ise8 88pir8tions.
The socialisalion of childrén wlh elderly re8idents through diverse and rich enmronmenls, helps lo
develop chihdren's social and cultural copllal 8nd broadens their under8tanding of the wSder worfd, and
them$8￿e8 as individual8.
W8 d8llvered the following se88ion8'.-
DJto
School
Colleg•
Care home
Chlldren
Students
Eldorty
Resldonts
1119124
St George's
City College
Parkwood
Hou58
40
14
11111r25
St Andrews
Cty College
Parkwood
and
Nazareth
House
50
15
27101r26
St Peters
Scott
Medical
Collego
Parkwood
and
Nazareth
House
30
12
24102r26
Whitleigh
DWP and
On Cour3e
South Wesl
Parkwood
House
18
12
Page 3

Mlllflelds Inspired
Trustses. Report
24103126
Cathedral
Schdol of Sl
Mary
251
Arts
University
P￿rnOuth
Nazareth
House
18
10
Total
number
of
people
v￿rkad
wlth
156
61
T•ddy Bear Plcnlc Llteracy Project
Worting with local education provider5, organis81ioris, and community volunteer8, children came
along with their favourite book and teddy bear lo the park. Volunteers kindty read with each class, and
seeondary school sludenlslcommuntty Argyle students perforrned a teddy bear song and engaged
the children in aclivilies. The children were given a picnic lunch and a new book to lake homa. Thi8
initiative aims to improve If(eracy levels 8mon9 children in deprived are88 8nd build supportive
communili8s for a brighter future.
In 24-25 we ran the following se8sions'.-
St
Georges
Primary School
BabcoGk
vol
St
School
Géorges
2510912024
11-1 pm
21
21
Pllgrlm Prlmary x
2 cla8ge8
Pllgrlm Prlmary
School
2610912024
11-1pm
voluntser8
60
3S
Cathedrdl School
olst Mary
Millflelds
Insplrod
OW1012024
11-1 pm
volunteer8
14
14
11.30
12.30
Whltlolgh Prlmary
School
Ml
voluntegr
Whltlelgh
Prlmary School
2711112024
10
Hlgh
Street
Prlm#ry 8chool
Mlllf161ds
In8plred
0311212024
11.1pm
voluntegrs
35
St Petern Prlmary
School
Mlllflelds
Insplr•d
0911212024
11-Ipm
voluntser
35
St
Andrew8
Primary School
Mlllflelds
In8plred
1910512025
11-1 pm
volunte•rs
10
Marl. St Jogs & M
Wis
Devonport Park
Bandstand
2010512025
11-1 pm
voluntéer
72
30
P8ga 4

Millfields Insplred
Trustees. Report
On this project we worked wf(h a totsl of 320 children, 131 Students and 74 elderW residents.
The followlng dala evldonce the hours used of our space from:. 9th Sept 2024 to 21st July
2025.
Glob• Kld8
We understand that some maryinalised groups in our communily may need a safe space. Wrth that in
mind, starting on 21 st Feb 2024, we offered our space lo Globekids. a group of children who have
been displaced by war. The children are supervised and guided by their coordinators and Millfields
Inspired provides the group wi(h D8S. links lo other support for the group, food, arKI hol dfinks.
Our goal is lo create a safe environment whare the children can feel a sense of conn8clion and
8UPPOrt, which will help them build confidence and rasllience as they adju81 to life in Ptymoulh.
Our facility was used for a lolal of 158 hour5.
Woman's Collectlve
A communrty of women has united wllh the goal of creating handmade resources for other8 while
f031ering 8 safe and supportive environment for gatherings. Each week, Millfields Inspired provides
the group wlh a dedlcaled sp￿e and refreshments, enabling them to connect, create, and support
one another.
Our fxllily was u8ed for 8 total of 111 hours.
Spaclal EducatSonal Naads group PEEPS
In collaboration with PIAS (Plymouth Information and Advice Semcel and our local Family hub8. The
goal of this group was to identify and assist families WTth young children who 8re transitioning into
srthool. The aim is to provide parents ￿th strategies lo understsnd their children'8 behaviours, help
with routines, and address day-to4ay issues that may 8ri$9. Ensuring that childran are ready lo leam
is crucial for their development and future success as adults.
Our facllily was used for a total of 12 hourn.
J8remlah3 Journey
We have worked closely with another charity (Jeremlahs Journey) by providing a safe, private space
for them lo meet with the childran and families they support following a bereavement. The room is
used tr￿1¢8 a week, on Wednesday evenings and Friday mornings. 11 has prowded children who have
lost a parent with a safe sanctuary lo play, talk and express themselves crealNely.
Our facilty was used for 8 lolal of 31.6 hour8.
Baby Group- Kgystone Chlldr8n'8 Centr8lAction for Chlldren
The local children's centre identified the need for a larger, more suitable space to njn 8 baby group,
as their own facilities were not able lo comfortably accommodate the number of families attending. To
support this, the group was hosted over an eight week period, providing a welcoming and accessible
space for new parents and their babies. During these sessions, parents were able lo meet regularly
w'rth a parenting worker and a heatth Msitor, offering opportunrties for professional guidance,
reassurance and peer 6UPPOrt. The group helped reduce isolation for new parents. supported early
bonding and wellbeing, and ensured families could access advice 8nd support in a Safe, relaxed
environment.
Our faalty wa8 Usad for 8 lolal of 16 hours.
Page 5

Miiifields Inspired
Trustees. Report
Summer Swim School
We provKled addf(ion81 swimming lessons for children from kn of the Slonehouse 8chools we work
wrth. helping them lo consolidate and build on the swimming they had already completed in school.
Teachers identffied pupils most in need of supptsrt lo develop water Confidence, and we then delivered
a four-week programme in p8rtner8hip wth The Lrfe Centre, Plymouth. Lessons look place over the
summer holrdays
We engaged with a lolal of 19 chlldren from 2 schools In the programme.
Graduatk>n SeJslon
Our annual graduation event al Cty College Ptymoulh ceiebraled children compleling the Widening
Horizons programme. The event featured an inspirallonal guest speaker who shared insights into
careers and personal journeys. Each child received a certificate and book to mark their achievement
and encourage resilience. This 18 about celebrating childr8n'8 achievement, recognising them as
indivlduals and providing them wllh chances lo ask questions, be curious and fael empowergj about
Ihair own indwldual potential. We congratulated all 287.
World Ocean Day
Our Wodd Ocean Day event is offered to Year 5 pupSls in the Widening Horizons programme.
Delivered with p8rtner8, It prOV￿e8 a fun and 8duc81ional experience on a local Ptymouth beach.
Families Can easily attend after school, lake part in interactive talks from organisalions such as the
National Marine Aquarium and others, and leam about marine life and plastic polILrt￿n. The evening
concludes with a shared food for all allendees.
Prom cellar
Our Prom Cellar iniliatwe ensures that cost is not a barrier for young people attending prom or
end-of-year celebrations. We collect and distribute high-qualty, pre-loved, and Sustainab￿ sourced
Suits and dresses. helping young people find ouffils that fil well and boost their confidence. Thi8 year.
we opened five lime8 and 8UPPOrtèd hundreds of young people lo feel included and celebrate
alongside their peers.
Flnancial rnvl8w
Policy on rnseNes
The Reserves Pollcy of the Charty is to hold 3 months gf running costs. The Charity currently hold8
£27,857 of G6neral Unrestricted Funds. In addition, reserves have also been sel up to cover stsff
contingency of £27,000, Ccwmmunity Engagement and development & Innovation of £42,445.
Page 6

Millfields Inspired
Trust8es' Report
Struthirn> govemance and management
Nature of govemlng documont
The organisation is a charltable Company limlted by guar8ntee, in(¥Jrporaled on 5 March 2013. The
company was estsblished under a Memorandum of Association which established the objects and
powers of the charitable company and is govemed under ils ArtKles ofAssocialion. In the event of the
ompany being wound up members are required lo contribute an amount not exceeding £1 each.
Rocrulthient and appolntment oftNs¢ees
Truste88 can be ejected by members of the charty or Co￿pIed by existing Iruslees. The Mlllfield8
Community Economic Development Trust Communty Interest Company (Company Number..
035132021 has the power to appoint, remove and replace a majority of Iruslees so long as rt is 8
member of the Charity, by written notlce from tlme lo time. The chority will recruit addltional trustees,
as and when Tequlred.
The charlty maintains a register of members. Membership is open onty to trustees and the Millfields
Communlty Econom￿ Development Trust Community Interest Company.
Small compan188 provl8lon statement
This report ha8 been prepared in aGcordanc6 the small companles regime under the Compani8
Act 2006.
The annual report was opproved by the Irusleas of the chadty on .3&.￿: *and signed on Its
behalf by..
Mr A Botterlll
Chairman and tru8tae
Pago 7

Millfields Inspired
Independent Examinerfs Report to the trustees of Mlllfields Inspired ('the
Companw)
I report lo the charity Iruslees on my examinats'on of the accounts of the Company for the year ended
31 August 2025.
Re8ponsiblliti&s and basls of raport
As the charity's trustees of the Company land also ts directors for the purposes of company lawl you
are responsible for the praparalion of the accounts in 8ccordance with the r8quSrements of th
Companies Act 20ae I'the 2006 A¢l'l.
Having sa118fied myself that the account8 of the Company are not required lo be audited under Part
16 of the 2006 Act and are eligible for independent examination. I report in re8pecl of my examination
of your charity's accounts as carried out under section 145 of the Charities Act 2011 I'lhe 2011 ACVI.
In carrwng out my examination I have loliow8d the Diraclions given by the Charily Commission Ltnder
FRclion 14515llbl of the 2011 Ad.
Indepond•nt OX8mlner's ststement
I have completed my examination. I confirm that no m8tter8 have come lo my attenllon In Gonnection
with the axaminalion giving me cause lo believe..
1. accounting racords were not kept in respect of Miiifield8 Inspired aj required by section 386 of
the 2006 Act., or
2. the accounts do not accord wkh those records., or
3. the accounts do not comply wrth the accounllng rnquirements of Section 396 of th8 2006 Acl
other than any requirement that the accounts give 8 'lruo and fair whSch is not a matter
consmdered as part of an independent examlnalion.. or
4. the accounts have not been prepared in accor(lance with th8 method5 and princlpl&s of the
Slalement of Recommended Practice for accounting and reporting by chariltes lapplicabl& lo
charities preparing thelr accounts in accord8nce with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 102)].
I have no concems and have come across no other matters in cx)nn8clion ￿th the examinolion to
which attention should be drawn in this report in order to enabk a proper understanding of the
accounts to be reached.
Mallhew Keane FCCA
Weslcotts (SWI LLP
Plym House
3 Longbridge Road
Marsh Mi118
Plymouth
Devon
PL6 8LT
Date..
..2..S/.os/z.6
Page 8

Millfi8lds Insplred
ststement of Financial Activities for the Year Ended 31 August 2025
(Including Income and Expendltur8 Account and Statement of Total
Recognlsed Gains and Losses
Unrestricted
funds
Restricted
funds
Total
2026
Totsl
2024
Income and Endovnnents from:
Donations and legac￿8
Total income
96,89S
70,138
167,033
108,012
96,895
70,138
167,033
108,012
Expondltur8 on:
Charitable acliv'rti8S
102,870
56,080
1158,950
104894
Total expenditure
Net lexpenditurelllncome
Tr3n8f8rs betsveen funds
102,870
56.080
158.9SO
104,894
(5,9751
5,320
14,058
15,320
8,083
3,118
Net rnovemenl in funds
16SS1
8,738
8,083
3,118
Reconclllatlon of fund¥
Total funds brought lo￿ard
Total funds carried foNard 14
97,957
34,897
132,854
129,738
43,635
140,937
132,854
All ofthe charity'8 actiwlies dedve from continuing operatbn8 durlng the above tsvo p8rloJ¥.
The funds bre8kdown for 2024 is shown in note 14.
The note8 on pages 11 to 23 fom an integral part of these finandal 8tstemgnts.
Page 9

ljllllflelds Inspired
(Registration number: 08430575)
Balance Sheet as at 31 August 2025
2025
2024
Not•
Flxed assets
Tangible assets
Investments
10
11
1,312
5,000
6.312
5,000
Current assets
Debtors
Cash al bank and In hand
12
7,767
153.510
57,757
80,597
138,354
181,2TT
26,652
Credltor•: Amounts falllng due wlthln one yoar
Net curront assetA
13
11,366
134,625
126,988
Not ass•ts
140,937
132,854
Fund8 ofthe charlty:
Restrlct8d Income fundg
Reslriclad funds
43,e35
34,897
Unrestrfcted Incom• funds
unrès1r￿t8d funds
97,302
97,957
132,854
Totsl fund•
14
140,937
For the fin8ncl81 ye8r ending 31 August 2025 the charity was enlilled to exemption from audit under
section 477 of the Comp8nie8 Act 2006 relating lo sm811 companies.
Directors, re8ponslbllitles'.
The members have not required the charity lo obtain an audit of k8 accounts for the year in
question in accordance wth 8ection 476., and
The directors acknowledge Ihgir responsibililles for complying with the requlrement8 of the Act wllh
respect lo accounting records and the preparation of accounls.
These financial statements have been prepared in accordance with the special provisions relating lo
companies sublecl lo the small comp8n*s regime wilhin Part 1S of the Companies Act 2006.
The financial statements on pages g 10 23 were approved by the Iruslees, and aulhortsed for issue on
4¥Y..:.￿....%.È8nd signed on Ihelr behalf by..
Mr A Botterill
Chairman and Trustee
The notes on pages 11 to 23 fomi an integral part of these financial slalemonls.
Page 10

Millfields Inspired
Notes to the Financial Ststements for the Year Ended 31 August 2025
I Charity status
The chanty is limtted by guarantee, incorporated in England and Wales, and consequently does not
have shore capital. Each of the trustees is liable to contribute an amount not exceeding £1 towards
the assets of the chartty in th8 event of liquidation.
The address of its registered officB 18..
HQ Business Centre
237 Union Street
Stonehouse
Plyinoulh
Devon
PL1 3HQ
2 Accountlng pollcles
Summary of slgnlflcant accountlng pollcl8• and kay accountlng •stlmatsa
The principal accounting policies applied in the preparation of these financial stalem8nls are sel out
below. These policie8 have been consistent￿ applied lo all the years presented, unless otherwise
s1810d.
ststemènt of compllanca
The financlal slalemen18 have been prepared in accordanc8 wlth Accounting and Reporting by
Charities.. Statement of Recommended Practice (applicable lo charllies preparing their accounts In
accordance Mlh the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS
10211 lis$ued in October 20191 (Charities SORP IFRS 10211, the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 102} and the Companies Act 2006.
B¥81s of praparatlon
Millfields Inspired meets the definition of a public benefit enlty under FRS 102. A888ts and liabilrties
are initially recognised al historic81 cost or transaction value unless othe￿IBe Staled in tha relevant
accounting policy notes.
The financial Statements are prepared in sterling. which is the functional currency of the entity.
Going concern
The Iru5tees consider that there are no material uncertainties about the chartys ability to Gonlinue as
a going concem nor any Sign￿l¢ant areas of uncertainty that affect the eartw'ng value of assets held by
the charity.
Income and endowments
All income is recognised once the chanty ha5 entitlement lo the income, il is probable that the income
will be received and the amount of the income receivable can be measured reliably.
Page11

Mlllfields Inspired
Notes to the Financial Statements for the Year Ended 31 August 2025
Donations and18ga¢ies
t)onalion$ are recognised when the charty has been notrfied in writing of both the amount and
settlement dale. In the event th81 a donalh)n is subject lo condrtions that require a level of
performance by the charity before the charity is enlf(led lo the funds, the income is deferod and not
recognised until either those conditions are fully mel, or the fuifilmenl of Ihose conditions is ￿01
within the control of the charity and rt is probable that these conditions will be fulfilled in the reporting
period.
Daferred Income
Deferred income represents 8mounls reeeived for future periods and is released to incoming
resources In the period for which. it has been received. Such income is only deferred when..
Th8 donor specifies that the grant or donation must only be used in future accounting periods.. or
The donor h88 imposed conditions which musl be met before the charity has uncondf¢ional
enlitlemenl.
Expgndllure
All expenditure 15 racogni8ed once there is a leg81 or conslrucllve obligatlon to that expenditure, 1118
probabl8 s8111omenl is required and the amount can be me8sured reliably. All costs are allocated lo
the applicable expendrture heading that aggregate similar cos18 to that category. Where co818 cannot
be directly allribuled lo particular headings they have been 811ocaled on a basis con818tenl with the
use of r880urces. with central staff costs allocated on the basis of time spent, and depreciation
charges allocated on the portion of the asset's use, Other support costs are allocated based on thè
spread of staff cost8.
Charltabla actlvltles
Charitable expenditure comprlses those costs incurred by tha charrty in the delivory of Its activitie¥
and services for its beneficiarkis. 11 includes both costs that can be all¢xaled direGlly to such activities
and those costs of an indirect nature necessary lo support them.
Support costs
Support costs indude central funcllons and have been allocated lo acllvily c081 categories on a b8SI8
consistent with the use of resources, for example. allocating property cos15 by floor areas, or per
captta, sl8ff costs by the lime spent and other costs by their usage.
Taxatlon
The charity is con8iclered lo pass the les18 s81 out in Paragraph 1 Schedule 6 of the Finance Act 2010
and therefo￿ it meets the definition of a charitable company for UK corporation tax purposes.
Accordingly, the charity is potentially exempt from tsxation in respect of income or copilal gains
received within calegorieg covered by Chapter 3 Part 11 of the Corpor81ion Tax Act 2010 or Secth)n
256 of the Taxation of Chargeable Gains Act 1992, to the exlenl that such income or gains are
applied exclusively lo charitable purposes.
Tanglble flx8d assets
Indniidual fixed assets are inf(ially recorded * cosl, Fess any subsequent accumulated depreciation
and subsequent accumulated impairment losses.
P￿e 12

Millfields Inspired
Not88 to tha FinanGial Statements for th8 Year Ended 31 August 2025
D•preciatlon and amortisatlon
Depreciation is provided on tsngible tixed a88els so as to write off the cost or valuation, les8 any
esllmaled re8idual value, over their expected useful economic life as follows..
DeprecSatlon method and rate
33Vo straight line
Assgt clas8
Equipment
Flxèd asset Investments
Fixed asset investmen18, other than programme related investments. are included al market value al
th8 balanc8 sheet dale. Realised gains and losses on investments are calculated as the difference
b¢￿tten sales proceeds and their marf(el value at the start of the year, or their subsequent cost, and
are charged or credited to the Slalemenl of FinanGlal Activities in the period of disposal.
Unrealised golns and losses represent the movement in market values during the year and are
crèdtted or charged to the Statement of Financial Aclivitigs based on the market value al the year and.
Cash and cash equlvalents
Cash and cash equivalents comprise cash on hand and call depo8rts, and alher 8hort4erm hlghty
liquid inve81menls that are read1￿ convertible to a known amount of cash and are sublecl 10 an
insignificant risk of change in value.
Borrowlngs
Intere8t4>earing borrwng8 are intt1a1￿ recorded 81 fair valua, net of Irgnssclion cost8.
Intere81-bearing borrowings are subsequently carried 81 amortised cost, w'rth the difference betsveen
the proceeds, nel of transaction costs, and the amount due on redemption being recognised as a
charge lo the Statement of Financi81 Aclivilies over the penod of the relevant borrowing.
Interest expense 18 recognised on tha basis of the eff8Ctiva interest method and18 included in interest
pay8ble and similar charges.
Borrowings are classified as current liabilfties unless the charity h88 an uncondiltonal right lo defer
settlemonl of the li8bility for at least bKelve month8 after the reporting date.
Fund struclur
Unrestricted income funds are ggneral funds that are available for use at the Iru8tee8 dlscretion In
furtherance of the objectives of the charty.
Reslricled income funds are those donated for use in a particular aTea or for specrlk purpose8, the
use of which is reslricled to that area or purpose.
Page 13

Millfields Inspired
Notes to the Financial Statements for the Year Ended 31 August 2025
Pensions and other post retirement obligations
The charity operates a defined contribution pension scheme which 18 9 pension plan under whleh
fixed contributions are paid into a pension fund and the charty has no legal or constructsve obligation
lo pay further contribution3 even rf the fund does not hold sufficient assets lo pay all employees th8
benefits relating lo employee service in the current and prior periods.
Contribut￿n8 to defined contribution plans are rgcognised in the Statement of Financial Actknlres
when they are due. If contribution payments exceed the contribution due for seNlce. the exces8 IS
recognised Bs 8 prepayment.
Flnancial instrumants
Cl•sslllcatlon
Financial ossets 8nd financial liabilities are recognised when th6 charity becomes a paty lo the
conlraclual prowsions of the inslrumenl.
Fin8nGial liab1151ies and equity instruments are cla88ified according lo the substance of the conlraclual
8rr8ng8menls onlered into. An equity instrument 18 any contract that eviden￿$ a residu81 interest In
the assets of the charity after deducting all of 118 li8bililies.
Recognltlon and measur8mont
All financial assets and liabilrties 8re inillally measured at Ir8n8acllon prlce (including transacllon
cos151, except for Ih03e financial assets classified as al fair value through profil or loss, which are
Initial￿ measured 81 fair value (which 18 nomially the transaction price excluding transact￿n cost8},
unless the arrangement conslilLrte8 a financing Iransaclion. If an arrangement conslilules a financing
tiarisaclion, the financial 888el or financial liabilty measured al the present valuo of thè future
payments discounted al a market rale of interest for a similar éebl inslwmenl.
Finandal as8els and liabilities are onty offset in tha statement of financial position when, and only
when there exlsts a legally enforceable nght to sel off the reeognised amounts and the charity intend8
either lo settle on a nel ba818, or lo realise the a88818nd settle the liability simultaneously.
Flnanciol a88ets are derecognised when and onty when al the contractual rights lo tho caEh fky$
from the fin8ncial 8ssel expire or are sellled, bl the charity transfers lo another party substantially all
of the risks and rewards of ownership of the financial asset, or cl the charity, daspile having retained
some. bul not all, significant risks and rowards of ownership, has transferred control of the asset to
another paty.
Financial liabilities are defecognised only when the obligation specif18d in the contract is dischalged,
cancelled or expires.
Dobt Instruments
Debt instruments are subsequentty measured at aTnOrtised cost.
Page 14

Millfields Inspirad
Notes to the Financial Statements for the Year Ended 31 August 2025
Investments
Investments in non•convertIb￿ preference shares and non-pultable ordinary or preference 8hare8
(where shares are publidy traded or their tsir value is reliably measurable) are measured 8t fair value
through profil or loss. Where fair value cannot be measured reliably, investments ale measured al
cost less impaiment.
Investmen18 in subsidiarles and 8ssociatgs are measured at CO811868 impaimienl. For investmen18 in
¥ubgidiarie8 acquired for constderalion including the issue ol sharès qualfying for merger relief, c09t
is measured by reference to the nominal value of the shores issued plus fair value of other
consideration. Any premium Is Ignored.
Deflned contrlbutlon plans
Conlributlons lo definad contribut￿n plans arè recognised as an expense In tha periad In which the
related seNiC8 is provided. Prepaid contributions 8re recognised as an asset to the extent ihal tha
prepayment will lead lo a reduction in future payments or a cash refund.
When contrfbutions are not expected lo be settled wholly wthin 12 month8 of the end of the reporting
dale in which the employees render the related service, the li8bilty is measured on a discounted
pmsenl value basis. Tha unwinding of the dlscount is recognised as an expense in the period in which
(t arise8.
3 Incom8 from donatlons and l•gacl•s
Unre•trlct•d
funds
General
R06trfctsd
funds
Total
2026
Don81ions and legacles.,
Donations from indNiduals
96,89S
96,895
70,138
70,138
167,033
167,033
Unrostrlcted
lund$
General
Re•trlctod
lunds
Total
2024
Donations and legacies..
Donations from indiwduals
103.312
103,312
108,012
108,012
4,700
Paga 15

Millfields Inspired
Notes to the Flnancial Ststements for the Year Ended 31 August 2025
4 Expenditure on charltablo acuvltles
Unrestrlcted
funds
Gener•1
Restrlcted
funds
Total
2025
Chartlable activity
Staff costs
Allocated support costs
28,521
63.850
10,499
102,870
Unrestrfctsd
funds
Gen•r•l
45,210
10,793
73,731
74,643
10,576
158,950
56.080
Restrfcted
lund8
Total
2024
Charitable odiwty
staff costs
Alloc818d support costs
25,303
58.795
10,729
94,827
10.067
35.370
58,795
10,729
10,Q67
1 t>4,894
Actlvlty
undertaken
dlrectly
Actlvity
8UPPOrt
costs
2026
Premises costs
Staff co8t8
Gèneral co818
Trip cos18
Fin8nce co8ls
IT costs
Adminislralitin costs
DepreC￿tIOn
18,358
55.595
738
46,103
18,358
74,642
11.361
46,103
107
789
7,019
571
19.047
10,623
107
789
7,019
571
120,794
38.156
158.950
Page 16

Millfialds Inspired
Notes to the Financial Statsm8nts for the Year Ended 31 August 2025
Actlvlty
undertaken
directty
Actlvlty
support
costs
2024
Premises costs
Stsff costs
General costs
Trip costs
Finance costs
IT costs
Adminislr81ion costs
Depreciation
14,916
39.749
736
19,718
14,916
58,797
2,563
19,718
108
3,922
4.523
347
19.048
1,827
108
3,922
4,523
347
75.119
29,775
104,894
S Net Incomlngloutyolng regourc•fj
Net incoming re80urces for the year indude..
2026
2024
Depraciation of fixed assets
572
347
6 Tru•t688 romunerntlon and •xp8n•e•
No trustees, nor 8ny persons connected with thém, have received any remunerstlon from the charity
durfng the year.
No Irusloes have received any reimbursed expen8e8 or any other benefits from the charity during the
year.
Page 17

Miiifields Inspired
Notss to the Financial Statements for the Year Ended 31 August 2025
7 Staff costs
The aggregate payroll costs were as follows..
2025
2024
Staff costs durlng tho yearwere:
Wages and salari8S
Pension costs
Other Staff costs
71,217
3.258
168
55,276
3,370
149
74,e43
58,795
The monlhty averaga number of persons (including senior management I leadership leaml employed
by the charity durlng the year was as foll¢)WS'.
2025
2024
Development
No emplo￿e received emoluments of more than £60,000 during the year.
8 Independent examln•Ps remunaratlon
2025
2024
Other fees to examlners
The examining of accounts of any associate of the charity
1,320
1,250
8 Taxatlon
The charty is 8 reqislered ch8rfly and is therefore exempl from taxation.
Page 18

Millfields Insplred
Notss to the FinanGial Statements for the Year Endad 31 August 2025
10 Tangible fixad assets
Furniture
and
equlpmenl
Total
Cost
Al 1 Seplomber 2024
Addf(lons
3,541
1,018
3,541
1,018
Al 31 August 2025
4,559
DeprecSatlon
Al 1 September 2024
Charge for the year
Al 31 August 2025
Net bookvalue
2,675
572
2,675
572
3,247
3,247
At 31 Augu812025
At 31 August 2024
1,312
1,312
866
866
11 Flx•d asset Snve¥tmants
othér Investment•
Invostmfrnts
Total
Cost or Valuatlon
At 1 September 2024
5,000
5,000
Al 31 August 2025
Nel book value
5,000
5,LN)O
Al 31 August 2025
5,000
5,000
At 31 August 2024
5,000
5,000
There wer8 no inv8slm8nt assets oulshle the UK.
InveslmenlB were neither listed nor unlisted.
Page 19

Millfields Insplred
Notes to the Financlal Statements for the Year Ended 31 August 2025
12 Dabtors
2025
2024
Trade debtors
Prepayments
Accrued income
Other debtors
5,473
1,294
833
167
275
1,224
$6,258
7,767
57,757
13 c1￿1t0￿. amounls falllng due wlthln on• year
2025
2024
Trad8 cradltors
Other laxalion and social 8ecurfy
other cradrtors
Accruals
Deferred income
1,131
1,135
6,456
1,528
1,052
2,330
3,796
20,000
26.652
11,366
Page 20

Millfields Inspired
Notes to the Financial Statements for the Year Ended 31 August 2025
14 Funds
Balance at 1
Saptember
2024
Balance at
31 August
2025
Incomlng
resources
Resource8
expended
Transf8rs
Unrastrlct8d funds
General
General fund
Community
Engagement
Staff Contingency
Reserye
Development and
Innovation
Reserve
45,806
76,895
1100,164)
5.320
27,857
17.776
20,000
12.7061
35,070
27.000
27,000
7,375
97,957
7,375
96,895
102,870
5.320
R•6trlctsd funds
Grow Slonehouse
Millfields Inspired
Community
Support
Immer8ive
Theatr8 Project
The Prom Shop
#lnspireme
International
Dinner
Social
Supermarket
2,746
2,746
7,107
12,330
3.000
22,437
8,320
4.428
12,296
18,320)
890
(2371
{8.4271
5,081
3.869
2,150
2,150
7,352
Total regtrlctsd
funds
34,897
56.080
5,320
Total funds
132,854
167,033
158,950
140.937
Page 21

Millfields Inspired
Notes to the Flnancial Statements for the Year Ended 31 August 2025
Balance at
Balance at
31 August
2024
Sgptembor
2023
Incomlng R¢sources
exponded
Transfer8
Unre8trfcted funds
08n8ral
General fund
Community
Engagemenl
staff Conling8n
Reserve
Development and
Innovation R8serve
58,032
83,312
191,9731
(3,5651
45,806
630
20,0(10
12,8541
17,776
27,000
27,000
7,375
93,037
7,375
97,957
103,312
94,827
3.5651
Rostrictsd
Grow Stonehou3e
Millfields Inspired
Communty Support
Immersive Theatre
PToj8cI
The Prom Shop
#lnspireme
Storytelling Clrcle
Totsl re8tricted fund8
2,748
2.746
S,107
2,000
7,107
8,320
1,730
12,296
6,500
8,320
4,428
12.296
2,700
(21
10,C65
3,56S
36.699
10,067
3,565
34,897
Total funds
129,736
108,012
104,894
132,854
Page 22

Mlllfi8lds Insplred
Notes to the Financial Ststements for the Year Ended 31 August 2025
15 Anatysls of n•t assets betweon funds
Unrestrictsd
funds
Goneral
Total funds
at 31 August
2026
Restrlctsd
fund8
T8ngible fixed assets
Fixetsj asset inveslmnls
Curnent 88sets
Current liabilllies
1,312
5,000
117,642
26,652
1,312
5,000
161,277
26,652
140.937
43,635
Totsl nel as8818
97.302
43,635
Unreltrlctsd
funds
Goneral
Total funds
at 31 August
2024
R•gtrlcted
funds
Tangible fixed assets
Fixed 8S8el investment8
Current assets
Current liabilitie8
866
5,000
103,457
11,366
5,000
138,3S4
11,366
34,897
Total net 08sel8
97,957
34,897
132 854
16 Related party tran#actlon•
There were no related p8ty Irangacllons in the year.
Page 23