REGISTERED COMPANY NUMBER: 08538449 (England and Wales)
REGISTERED CHARrrY NUMBER: 1154233
Unaudtted Flnanclal Statern￿ lor the Y￿r Ended 31 Au9U8t 2022

Contents of the Financial Ststwnents
for the Y￿r Ended 31 August 2022
Report ol tho Trust*8
1 to 2
Indepen￿1 Examlnérf# Report
Balance Sheet
5 to 6
7 to 11
12

Report of ts Trustees
lor the Year End￿1 31 Augu￿ 21r22
The trustees who are also direta￿S of the tharity for the purFQ5es of the Companies Act 2006,
present their report with the finanual slatements of the L*arty for the year ended 31 August 2022.
Thè trustees have adoptgj the provtsK)ns of ACC￿nting arKI Re￿rting by Charities: Statement of
Re￿mmended Pra(ai￿ applicable to tharities preparirKJ their aw)unts in aecordance with the
Financial R8FK)rbng Stsndard applrcabl8 in the UK and Rewblic of Ireland (FRS 102) {effectNe I
January 2019).
OBJECTIVES AND ACTivmES
Charltles alms and pertormance
East Midlands Cheerfeading Academy was set up to provNJè dwrleading class8S to the local
Community in Nottingham, with partI￿lar focus on keaping yi)urMJ people under the age of 18 in
sport. Concessions are made on a discJ8tionary basis and class fees are kopt as as possible
to allt)w children whose families would otheThwse be unable to afford it to tske part.
Cheèrleading classes are usually offered within our facilty 6 days a week and support children
from the age of 3 up to adu￿5. tth male arKI female.
The trustees therefcKe conflm that the chanty is Tun for publlc benefft and th8y have had full
regard to the guidance issu&J by the charity c0fflmissi￿ on public benefit.
EMCA has grown as a dub in tern￿ of the number of athletes taklng part each year. and have
b88n offering classes to over 250 young peop￿. Most of these young people ara girls urKler th8
age of 18 who were preV￿)USIY rKA doing any physul adivty. thus we ￿ntinue to meet our main
goals as a charity. keeping girfs fit and active as well as building life bng skills of teamwort<, trust
and Gommltment.
Flnanc1818ummary
During the prevlous wr o)sts of £55,722 were incurr&d in r8latk)n to roof r8P8irs. As the
guarantee paritsj for the Y￿rk 8xceeded the tem of the premise lease, 50% of this cost was mèt
by the landlord. Should the charity chcx)se to extend their lease bey￿￿ the Current lease temi
ending in Decsmber 2028 the charity may be required to repay the landlord's contribution.
Revenue incr8ased durirwJ the year due to the gradual endlry of the restrictions thal r8sultèd from
the Covid-19 pandémic. Class fees continued lo be granted to approximately 10% of children
vthere parents w8re in finaniial or other supporL
As In prevkjus years the mai￿lty of incoTh is generated frorn dass fees. but other inwm8 SoUr￿S
indude payments for kit, unifoffn, ￿￿petitIon enty and tickets. No profft is mad8 on these other
income sources to ensure there is no financial barrier ItK>S8 wshing to join the dub.
FINANCIAL REVIEW
Reserve8 policy
Aithough the charlty does not have a speufic reserves policy. li (x)ntinues to hold significant cash
funds, which would be mor8 than suffiryent to CQ¥8r any unexFeCted costs or loss of income ovér
the next fow y8afS.
STRUCTUA& GOVERNANCE AND MANAGEMETrir
Governing document
The chartty is a company limited by guarantee, as defined by the Companies Act 2006, and is
govemed by its Memorandum and Artides. as amended by s￿#al Resdution.
REFERENCE AND ADMINISTRATIVE DEfAILS
Registered Company number
08538449 (England and Wales)
Page 1

Easl Midlands Cheerleading ACad￿ry
for the Y￿r End￿ 31 August 2022
Registered Charity number
1154233
Registered ¢)ffice
23 Handel Street
Nottingham
NG3 1JE
Trustees
Anna Mead
NiL)Jla van Gelder (resigned 31.8.22)
Helena Zar￿1
The truste8 mgmorarKlum sets the roie and aFproath for the charivs trustees.
Independent Examin
DeLL)rah Caine
Mellor Oxland LLP
Hine House
25 Regent Street
Nottingham
NG15BS
Approved by order of the LK)ard of trustees on ............24th May. 2023
behaw by-
arKI signed on its
Anna Mead - Trustee
Page 2

Independent Examin*s Report to the Trustees of
Independent examiners rep￿ to the trustees of Ea￿ Midlands Clwleadiry Academy (Ihe
CompanY)
I report to the charity trustees on my examination of the ac(xJJnts of the Company for the year
ended 31 August 2022.
Responsibililies and basls of report
As the charity's trustees of the Company (and also Éts dir8Ctors for the purposes of (Y)mpany lawl
you are responsible for the preparatk)n of the acccrfjnts in acfX)rdance wilh the requirements of the
Companies Act 2006 (Ihe 2006 Acl,).
Having satisfied myself that the a(£ounts of the Company are not required to be audited under
Part 16 of the 2006 Act and are eligible for indep*ndent examination, I report in respect of my
examination of your charivs ac￿Unts as carried out under Section 145 of the Charities Act 2011
Ilhe 2011 Act.) In cxryng out my examination I have follo¥*l the Direclions given by the Charity
Commission under Section 145(5) (b) of the 2011 A(
Independent examiners statemwrt
I have completed my examination. I ￿nfim7 that no matters have ￿me to my attention in
connection with the examination gimng me L3use to believe:
accounting re(x)rds were not kept in reswt of the Company as required by Section 386 of
the 2006 Act. or
the acmunts do nol acwrd wtth those r￿OrdS. or
the accounts do not ￿mplY with the accounting requirements of Section 396 of the 2006 A
other than any requirement that the accounts give a true and fair view which is not a matter
considered as part of an indeper￿ent examination," or
the accounts have not been prepared in accordance with the methc#Js and principles of the
Statement of RecL*mmerKl8d Pracaice for a(￿Unting and reporting by charities {applicable to
chartties preparing their ac￿Unts in accordance with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021}.
I have no cOn￿mS and have come across no other matters in conn￿￿0￿ wtlh the examination to
which attention should be drawn in this reF￿ in order to enab￿ a proper understanding of the
accounts to be reached.
Deborah Caine
Mellor Oxland LLP
Hine House
25 Regent Street
Nottingham
NG15BS
Date: .a.4..
Page 3

for the Y￿r Ended 31 August 2022
2022
Unrestrioted
fund
2021
Total
funds
Notes
INCOME AND ENDOWMENTS FROM
Other in￿rne
213,934
183,203
EXPENDITURE ON
Other
235.351
190,802
NEf INCOMEI{EXPENDrruRE)
(21,417)
17,5991
RECONCIUATION OF FUNDS
Total funds brought forward
242,088
249.687
TOTAL FUNDS CARRIED FORWARD
220.671
242.088
The ￿)teS fomi part of these financbal statements
Page 4

East Mldlands CheWI￿ding Acadany
31 August 2022
2022
Un￿striCted
fund
2021
Total
funds
Notes
FIXED ASSETS
Tangible assets
70.937
52.780
CURRENT ASSErs
Cash at bank
151.625
190,592
CREDITORS
Amounts falling due wlthin one year
(1.891)
11.284)
NEf CURREMf ASSErs
149.734
189,308
TOTAL ASSEfs LESS CURREiir
UABIUTIES
220,671
242,088
NEf ASSErs
220,671
242,088
FUNDS
Unrestricted funds
220,671
242,088
TOTAL FUNDS
220.671
242,088
The charitable company is entru￿ to exemption from audit uThJ8r Secbon 477 of the Companies
Act 2006 for the year ended 31 August 2022.
The members have not reqUIr￿j the (x)mpany to obtain an aLKlit of tts finanaal statements for the
year ended 31 August 2022 in accordan￿ wilh Section 476 of the Companies A£t 2W6.
The trustees a¢kr￿￿edge their reS￿￿$1b111tieS for
(a) ensuring that the charitable company keeps acL))unting re(ths that Lxjmpty wrth Se&ions
386 and 387 of the Companies Act 2C()6 and
(b) preparing finan(aal statements which give a true and fair wew of the state of 8ffairs of the
charitable company as at the end of each finanoal year and of its surplus or deficit for each
finanaal year in aC(l)rdan￿ with Ihe requirements of Sections 394 and 395 and which
otherwise comply wtth the requirements of the Companies Act 2006 relating to finanaal
statements. so far as applicabk to the tharilable company.
The Tr)tes fomi part of these financial statements
Page 5
ntin[￿...

Balance Sheet. continued
31 August 2(r22
These finanoal statements have been prepared in acco￿an￿ the provisions applicable to
charttable companie5 subject to the small companies regime.
The financial statements were approved by the Board of Trustees and auth(yised for issue on
24th May..2023
.. and were on tts behaw by".
Anna Mead - Trustee
The rvjtes fomi part of these finanoal statements

for Y￿r Endal 31 August 2022
ACCOUPMNG POUCIES
Basis ol preparing the financial Stat￿n￿ts
The financtal slatements of the charitable company, whith ts a publ￿ benefft entity under
FRS 102. have been prepared in a(￿ance wtlh tho Charities SORP (FRS 102>
'Accounting and Rewrting by Charities." Statement of Rec£)mmended Practice applicable to
chartties preparing their accounts in accordartce with the Financial Rew)ttng Standard
applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 20191.. Financial
Reporting Starmlard 102 The Finanaal ReKM)rting Standard appI￿able in the UK and
Republic of IrelarKI' arKI the Companies Act 2CK16. The finanaal ststements have been
prepared under the historical ￿st convention.
Income
All inconp is reo)Jnised in the Statement of Financial Acaivihes once the charity has
entitlement to the furKls, it is probable that the income wll be re￿iVed and the amount can
be measured reliabty.
Expenditure
Liabilities are recrynised as exp8ThJiture as scrfm as there is a legal or iJ)nstructive obligation
commttting the charity to trtat expeThJtture. it is probable that a transfer of e(x)nomic benefits
will be required in settlernent and the amount of the obligation can be m8asured reliably.
Expenditure is acwunted for on an accruals basis and has been classified under headings
that aggregate all cost related to the ￿leg(￿y. Vvhere costs (xnnot be direcuy atiributed to
parbcular headings they have ￿en alkTr￿ to athiknes on a basis cx)nsistent the use
of resources.
Tangible fixed assets
Depre￿atIon is pr()vided at the folloNMng annual rates in order to wriie off each asset over its
estirnated usefijl life.
Plant arKI machinery
Fixtures and ffttings
20% on cost
- in aco)rdance ¥Mth the pr(￿ty
Fixiures and fftlings are vffitt￿ off on a straight line basis over the remaining term of the
propety lease at the time of purchase. The (Jjrrent lease ends in D￿mber 2028.
Taxation
The charity is exempl from corpcKat%)n tax C￿ tis charTtabSe acthvitses.
Page 7
ntinued...

East Mldlands Cheerfeading Acad
for the YeAr End￿ 31 August 2022
OTHER INCOME
2022
2021
Government grants
Fees collected
Gym hire
Wodds
FUndrai￿ng
32,229
120,707
4,810
24.965
492
173.606
4,060
36,268
213,934
183,203
During the previous year grdnts of £32.229 were r￿1V&1 from Covid-19 govemment
support schemes.
NEf INCOMW(EXPENDrruRE)
Net in(L)mel{expenditure) Is stat&Y after d￿rgI￿{cled"rtlng):
2022
2021
Deprecialion . owned assets
9,489
8,060
TRUSTEES, REMUNERATION AND BENEFrrs
During the year the lJust8es received payments to remunerate them for the time spent on
administrative matters perfomed for the charity. Anna Mead received £10,Crf)2 and Helena
Zarzycki £20,IJ)4.
Trustees, exp￿Se9
There were no trustees. expenses paid for th8 year ended 31 August 2022 nor for the y8ar
ended 31 August 2021_
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
INCOME AND ENDOWMENTS FROM
other In￿Me
183,203
EXPENDITURE ON
Other
190,802
NEf INCOMFJ(EXPENDtruRE)
17,5991
Page 8
oJntinued...

East Midlands CheerI￿1ng Academy
Noles to the Financial stateTh￿. contlnued
for the Y￿r Ended 31 Augusl 2022
COMPARATIVES FOR THE STATEMEKf OF FINANCIAL ACTivmES- contlnued
Untestricted
fijnd
RECONCILIATION OF FUNDS
Total funds brought foThvard
249.687
TOTAL FUNDS CARRIED
FORWARD
242,088
TANGIBLE RXED ASSErs
Fiytures
and
ffttirys
Plant and
mathinery
Totals
COST
At 1 September 2021
Additi(K
61.569
66,425
27.646
127,994
27,646
At 31 August 2022
61.569
94.071
155,640
DEPRECIATION
At 1 September 2021
Charge f¢X year
61.569
13,645
9.489
75,214
9,489
At 31 August 20Z2
61.569
23,134
84,703
NEf BOOK VALUE
At 31 August 2022
70,937
70,937
At 31 August 2021
52.780
52,780
Page 9
cDntinL￿d...

Notes to the Financlal Statern￿. continued
for the Yw ErHled 31 August 2(r22
CREDITORS: Amoupifs FALUNG DUE wmiiN ONE YEAR
2022
2021
A¢¢rued expenses
1.891
1,284
MOVEMENT IN FUNDS
Net
movement
in fijnds
At 1.9.21
31.8.22
Unrestricted furKIs
General fund
242.088
(21,417)
220.671
TOTAL FUNDS
242.088
(21,417)
220.671
Net movement in funds. induded in the ab)ve are as follo￿.
Ino)ming
Resources Movement
resour￿ expended
in funds
Unrestricted funds
General ftjnd
213,934
(235.351)
(21.417)
TOTAL FUNDS
213,934
{235.351)
(21,417)
Net
movement
in fvnds
At 1.9.20
31.8.21
Unrestricted funds
General fund
249.687
(7,599)
242.088
TOTAL FUNDS
249.687
(7,599)
242,088
Page 10
(￿tinued...

for the Y￿r Ended 31 August 2022
MOVEMEiif IN FUNDS- conlinu
Comparative net ffM)ven*nt in funds. Ind￿￿j in the aLw)ve are as follows:
Incoming Resources Movement
resour￿ expended
in funds
Unrestricted lunds
Generdl fi
183.203
(190.802)
(7,599)
TOTAL FUNDS
183,203
(190,802)
(7,599)
There are rK> unrestricted fijnds hekl at 31 August 2022 or 31 August 2021.
RELATED PARTY DISCLOSURES
There V￿re no related paty transaCtI(￿S frKthe year ended 31 August 2022.
Page 11

East Midlands Chewleading Academy
t￿lled stalem￿ ot Flnancial Activilies
for the Year Ended 31 August 2022
2022
Unrestricted
ffijnds
2021
Total
nds
INCOME AND ENDOWMEp¥rs
Other inconK4
Govemment grants
Fees collected
Gym hire
Wodds
Fundraisir
32,229
120.707
4,810
24.965
492
173,606
4.060
36,268
213.934
183,203
Total incoming resources
213.934
183,203
EXPENtMTURE
Other
Kit purchases
Coaching costs
Hall running
Tickel purchases
Wodds costs
Other costs
Fundraising costs
Plant and maGhinery
Fixtures and ffttings
19,720
67.007
63.446
24,631
45.347
4,325
26,825
42,170
94,262
4.179
10,376
3.241
405
272
7,788
9.489
233,965
189,518
Governance costs
Accountancy fees
1.284
Total resources expended
235,351
190,802
Net income
{21,417)
(7,599)
This page does rK)t form part ofthe statutory firkgncsal statements
Page 12