CAMBRllKE MUSEUM OF fECFTN0L(￿y
TRUSTEES, RE14)RT AND FfNANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST MARCH 2025

CAMBRIDGE MUSEUM OF TECINOLOGY
FfNANCIAL STATEhlENfs FOR IHE YEAR ENDED 3 1ST MARCH 2025
CONTEwrs..
PAGE:
Company Infonnation
Tnjstees, Report
Independent Ex8min¢V$ Report
Statement of Fiw¢tal Adivities
Balance Sheet
Statement of Cath Flows
Notes to the FinprAcia] Statem¢uts
10-17

CAMBRIDGE hlUSEUM OF TECFfNOLOGY
PAGE I
FINANCIAL STAIEMEKfs FOR TELE YEAR ENDED 31ST MARCH 2025
COMPANY INFORMATION..
CURRENT TRUSTEES..
Jolm Adriall Sheppatd
Lucy Thompson
Nick Plais¢er
Steveo KnLge
Anne French
KieT8n Ol¢ave (r¢sigD¢d 17100f2025)
Anly Hi)oker(resiglled 17106120251
Mattrlew Sarkar
Treasurer Bhagwat Nagargoje
Wah Suug Vincent Uak
CHARITY REGISTRATION NUMBER.. 1156685
COMPANY NUMB.ER..
CE000931
REGISTERED OFFECE..
The Old Pumping Ststion
Cambridge
CJmbridgeshire
CB5 8LD
tNDEPENDENT EXAMtY4EL.
lun W Shipley FCCA
For and on ￿half of
Pr¢nti5 & Co LLP
Cbarterel Accountants
115c Milton Road
Cambridge
CB4 IXE
BANKERS:
CAF Bank
25 Kitigs Hill Avenue
KirAgs Hill
West Mallins
Ke
ME19 4JQ
Barc]ays Bank UK PIC (Cambridge BTall¢b)
Leicester
Leicestershire
LE87 2BB

CAMBRIDGE MUSEUM OF TECWIOLOGY
PAfjE 2
FfNANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2025
TRUSTEES, REPORT
The Tn￿tee5 present their arnllual T6POrt and fjnancial staternents for the Y￿ ended 315t March 2025. The fjnsnciai
statements compty with the Charities Act 2011, alld Reporting by Chwitie5'. Statement of Reconjmended Practice applicable to
Gharities preparing thelr accowjts in accordance with the Fin￿¢1￿1 Reporting StaDdaTd applicable in th£ UK and Republic of
IrelaDd (FRS 102) issued October 2019 (efftctive 1st January 2019).
STRUCTURE GOVERNANCE AND OBJEcfIvL8
The.laus¢uw's charitable purposes are to advanc¢ educalion in scienc4 tecbnology 8nd industrial herirAge through the
developllKntof a rnuseum ofts¢huolo8y for the I￿llefit of the publi¢.
The Museum's T￿￿1¢¢$ adoptedth¢ followiDg TDissio
To pre5¢rye and d¢mon5trJte the Industri￿ andteclJntslogic81 heritage of Cambridge for the inspiration. e￿joYMent and
edu¢&tion of all.,
It seeks to achieve Ats charitsble objectives by undertakiDgth¢ followillg activities."
Collecting and preser￿llg objects and storie5 relating to the industtial b¢ritage of Cambridge.
. Pre8er¥ing the Mu%um'5 historic iDdu5trial sit& buTlding and awciated mathinery.
. Displairyn& lltt¢rpTeLithg demonsiTaling the collection4 the historic gite, butldillg uthinery, plus
iated str)ries for everyoDe to enjoy. explore and learn from.
o￿atIng th¢ colleuions where pra¢ti¢able.
Overco￿ltig as Ma￿ physi¢al, iAtelleetllai and fjtwicial barriers L9 possibk to providethe wid¢5t possible
ccss to all of ourbuildnw, collections facilities.
. Markding the Museum to appeal to a bTIMd I￿ge of target audiences.
Developing the M￿￿eUm &$ a friendly and high quality ttDtre end resource for the Iwal commmiity.
. Developin& training and si]pr￿]ng the volunteers who h¢lp nm the MuseuDJ.
Providing a w¢lcorJing and enjoyable experiaLce for visitors.
Deliv¢Ting a dynamic prograM￿t for fonnal edu(aÉion informal learning groups to discover CallLbridge's
industiial 8Dd technol0￿C￿l heritage and r¢lated STEM* subjec1& (*Seience. Techuology, Ell￿eerin￿
MatheTDatics.)
The m￿eum is run by a B0￿d of TnTrsl¢es which meets bi-moThthty. The day-tr￿dayn￿￿lllg of the Museum is delegatsd to
a Management Con]mittee which meets monthly.
The Nqus¢ll￿ ts constituted as 8 Charikble IncortN)rated Ihg8tiisati0￿ incor￿rated ill 2014 ￿der a 5tallthd memt*rship CIO
(Deed).
ND externaE bDdtes are aUow¢d to ap￿Int Thtstees.
Under th¢ COTMItutio￿ new TrLLStces may be apwinteil by th¢ meth￿rs￿lIp at a geDeTal meeting of members, or at a Board
of Tlustees rneeting. New Trustees aTe provided with an initial induction into Ihe activities of the djarity by fellow Trustres.
They 8Je also provided with documents such as the Trustee Deed and latest accounts.
Thtstees at the lirne oFapproval of thi5 rep)rt:
- John Sheppard
- stev{￿ KrusE
- Lucy Thowson
- Lain Camicero
- Anne French
- Nick Plaistrr
- Bhagwat N'agargoje
- Wah SuDg Vincent Mak
Other Trustees tho served during the f￿￿CIal year. Aroy Hookw and Kierdll Gl¢av¢.

CAMBIUDGE MUSEUM OF TECHNOLOGY
PAGB 3
F￿ANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH2025
TRUSTEES, LI￿ORT ¢ontinued
PUBLIC BENEFIT STATEMEKr
The Truste¢s of the Cambridge Museutn of Tethology(CMD are committed to ¢DsufiDg that all activities are plaTmed and
overseen with the pub]ic bellefit in n)ind, followiDg the Charity Commission's guidanc¢.
CMT strives to eJ)Tich the local communtty by preseThiDg heritagq providillg attess to the history of tecknolO￿. fO￿ering
educational PTograms, aud encouragiDg ¢TW¢M¢￿ with the museum's collections.
ACHIBVEMENfs AND PERFORMANCE
OrganisatioDal Cgpaelty aDd Stsffing
In October 2024, a new Di￿ctor al￿ Trcasurer to the Board ofTn￿teeS wete r¢crnt¢¢4 reaching our full Complement of I I
membErs.
The thre¢ 8tatTposts fuDded by the National LK)ttery Heritsge Fund INLHF) wer¢ in place by Nov¢mber 2024. These are..
Enterprise MaDager, Community Officer, and Ed￿all0￿ Officer. These part-iime roles are belping the CMT grow income,
expand educational offeritu and Strengthen community ties. The Front-of.Howe MaDa8er and Administrator ¢QDtinutd to
SUPPOrt the cMr'3 day-lo-day opei*ions and wett pivotal in the iudurtion alld intewtion of the Dew n￿￿)berS of staff.
The dcdication of our Site Team volunte£rs ¢ontiDue5 to be It￿entat in keepiDgthe CMT open to the public. Their
cornirnilrnent underpins the contilluatioD of museum activities that have trt¢n nwning successfithlly in recBDt years and 2ts0
drives tbe developmeThl of u¢w initiatives.
Close to 6.700 voluDtreT hour5 were recorded io B¢tteT Impart in2024.
CoDsultsll¢y and CollectioDS
The CMT appointed a Carnbridge.b&sed heritage consuttant to eV￿￿ale the Full Steatn Abead projed Sponsored by NiHF,
with a view to helping the museum iwve the visitor ¢xwi¢llcc and interpretive offer.
Tha￿kS to fimdiDg from the Foyle FO￿datIo54 a Collections Officer Nvas recThited for 12 month5 to support curatorial work
Lnd th¢ rehoming of artiFdClS. and 10 fdcilitate parthership projects and temporary ¢3hibitiODS.
A n¢w tellwrnry exhTbition,'Wh&t Hwens Next.. was launched inthe Pye Buildill& exploring the period from 1967 to
the present day.
The PTint Team led exhibition tn the Prying Stst1￿ show￿]￿£ voluDtreY-submitLr4t w
Community Engagement Social Imp*¢t
The CMT launched a Con)Jnullity ForullL invitiDg l(Kal grott￿ fot an eveDillg of networki￿ Thi5 event sparked ide&8 for
ture collaboratioThs and deepened local relationships.
1Tr6 musewn a150 bosted Con]muDity Sunday tsjks wtth thE Riverside ResidenW Association (RARA) and opened the
doors to Abbey People for a free eV￿]Ing ¢venL helpittg reduce exclusion and imptove access.
The Cambridge Industrial Archaeolo￿ Group ¢ontillued theIrregul￿ tslks atthe mvs¢vm's premises.
Visitors
During tbe 2024-25 financial year, the CMT continued to operJl¢ three days a weeL IKyond just weekends, with plans to
furtber illCTe&st ho￿￿ b￿ed on visitsr demand during school alld bank holiday5. Th¢ Electric Roorn was Izansfonn¢d into a
new ti¢k¢t office and, following this rnove, the museum shop increased its sales.
In 2024. the CbfT welcomed 7262 MstioTg- swp&ssing the 2027 record of 7.239. hosted 14 school visits, w¢lcorning over
five hwiitred pupils. and secured moT¢ than 20 prtvate site hires, including parti4 art shows, and weddTngs.

CAMBRIDGE MUSEUM OF TECHNoL￿y
PAGE4
FfNANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2025
TRUSTEES. REPORT colltinued
EducatioD Eyenls
The CMT delivered a wide-ranging prOgra￿￿e for dildren aud fa￿llIes, with ¢xtra Twilight at the Museum se8sion8 and a
Toddler into Tech pro￿¢ to exploTe scientific themes through plW activities. F￿gaging younger audiences
continue5 to be a key aim, and these &vly-yeaTev¢nts have set a strong Preced￿
The CMT participated in the Catnbridg¢ F¢5¢ival. h05ting three sepaIate events. These included the r¢lurn of Dying for
Life's Shadows and Light workshop, and the CMTS new Ftyitig into the Futjjre drone workshop, where participat)ts
interacted with drolle ￿S and built their oTrvu rn￿]5. In additio￿ the QWI'S staff represented the Museurn at the
F¢stival's faroily weekend at the New Museums Si*, exp4lldillg th¢ cmfs r¢ach into the city. centre. The CMT also joined
thre£ pop-up evgnts as part of Slttmner at th¢ museull￿. with the Universty of Cambridge MuseUll￿. and OFtn CambTidge
featured the volunteer-led Enew Waiks. which w¢re bookeiL
The Management CoJDmittee renMi1￿ dedicated to hosttllg all llrray of comm¢rcial 4Dd cornrnutiity-oriented initsatives, the
largest belng the Folk Day- which attracted 297 attendees ill its seeond year.
In summer 2024. the CMT hosted a wrdding for400 guests. 6Jrthcr enEwicÉDg the mt]seum'8 ewienc£ Thith large events.
FUTURE PLANS
Plans for 2025-26
The is expect¢d to be open to the public five days a week(Wedll&%dayto S￿) duritig the school summer
holidays, Itlle with our Full Steam Ahead PTojecÈ goals.
Remedial works ate I￿]ng plawied fortbe Gas Engine Room roof and ceiling, wtth a prop)sal undenvay to Historic
England to pr¢s¢rve th¢ sch¢dul¢d TuonumenL A WOTking growj wll be in piace to addrn funding and 5uslainability
dwing ¢lobure.
The illGome from the Engineer's House colltinu¢5 to b¢ ¢55eDtial kn r¢payth¢ AHF NLHF fi]nding ts resBrv¢(I foT
redeLoraling the fiT5t floor of the Engineer's House. and the lydevelop￿tent of thE OU￿0￿rS site is scheduled to begill in
November 2025, with match fundtllg fro￿ b05Pitalitypartner5. The CMT will fiwd esse￿1￿1 access improvem£nts which
are part of this proje¢L includinE a disabled lift, rdmp, alld toilet faciliti¢s.
F￿ANCIAL REv￿w
The T￿￿te¢S ¢on8id¢r the rt8ults f¢)T th¢ yur s*i5factory. The s￿eMent of Financial Activities show8 an overall deficiÉ of
£14,(M9 (2024: SUTplus £36.910) made up of arestricted fimds deficit of £42,394 (2024.. surplus £20299), and a smylus on
estricled Ejf £28,345 (2024.. swplus £16,611). The restricted deficit Is represented on the balauc¢ sheeÉ with the costs
of redevelopment of the site under fLxed assets.
RESERVES POLICY
The Biiard of T￿￿¢¢$ reviewedthe Reserves Policy in 2￿21 and c4)ll¢luded a reserve of £27.500 is required to allow
us IQ CODt2nu¢ operating during adve￿ events suth as ]nuseum c105ure or structural issues in the sch￿￿]ed Monutnellt.
IDcludLDg grant fulldin& c&th in tbe b4Dk w&5 aknye the reserv¢ thT¢shold foT the 2024-2S ¢y¢le.
FUNDRAlStNG POLICY
The charAty not a¢tivety fundraise from the public otberthaD on its pttKDises, although IL is alwa}Is happy to tective
donations. The tn&jority of do1]￿10￿5 and gTants are sou2ht from public E¥)dies and charitable organisatioTJS. The charity
ollitors atl fi￿draiSing carried out" it co￿On￿S to teLogtiised Sta[￿ardS not received XDY complaints. As the charity
does not opellly yolicti fi￿d5 from the general public it is unlikely to tettive donations from vlllnerdble people, but it is aware
of its obligatiths.

CAMBlU[￿E MUSEUM OF TECHNOLOGY
PAGE 5
FINANCIAL STAT&MBNTS FOR THE YEAR ENDED 3 1ST MARCH 2025
TRUSTEES, REPORT co￿tinUed
RISK MANAGEMENT
The Trustees maTntsined a risk regist¢r duriD8 the reporting
The Trustee5 have adopted and regularly Teview the following p]icies and proc¢dur&8:
Collections Development Poli￿, ChildreD and VulDerabl¢ Adult Protection Policy. Confiicts of lut¢rest Policy> Equal
opport￿ltieS Policy, Respect and Dignity Poli￿, Health and Safety Policy, FJ]viroDllJ¢Jttal Sustainability Policy, Reserves
Policy, Data Ret¢Jtion Policy, Financitil Regulations. VoluDteering Policy {includiDg Con)plaiDts Procedure), Data Mallag¢rn¢ll¢
Policy, Privacy Notice, Lettin8s Policy. Cop)Tight and IP Policy, Aw¢s5 Po]i¢y, Collection Care and Cons¢rvation Policy,
D(Kumentation of the CollectiorL5 POJi￿. alld Trustee Eligibility Policy.
REMUNERATION POLICY
The Tn]stees consideT thE￿SelVeS key Mall￿eMeTht and are not T¢mullernted
Staff pay is deternjined by the Tru￿¢¢% infonned by cornp￿ to salories within th¢ s¢Ctor and location.
RESPONsfBILITIES OF THE BOARD OF TRUSTEES
The charity Trustees are r¢5ponsible for prcparittg & Tru￿ee5, annual ryrt and finU￿¢191 statements in acGordallce with
applicable law and United Kingdom AccouDtiDg StandaTds (L￿lted KinE&)rn Gtherally Accepted Accounting Pr&ctice).
Charity law requires the Gbarity Ttustees to prqmre the financial statrments for each y¢aT wbith 8ive a true &T￿ fair view of
the state of affairs of thc charity and of the Incoming resour￿5 alld application of Tesources, including the income and
expenditure for that p¢ri(xl. In prepar1t￿ the fillancial Statem￿ the TnLStees aTe requird to:
. seled suitable xcoiinting w]icies arwj then apply them consistently.
bserve the m¢thod5 and principles in the Charities SORP.
mak¢ j￿¢Ments and esti]1]21es that reaSQDable alld pn￿ent.
state whethu app]icable UK ￿oUnting Standards have been followe& subj¢ct to any material departures
disc105ed aDd explained in the financial state￿ents.
pE¢pare the financial statements QD the going Conc￿ bAsis unless it is iDappropri*e to pr¢sume that tbe
charity will Continue in business.
Thc Trustees are responsible forkcq)iDg Proper acwuming records disclose witb reasonable accuracy at any time the
financial EM)Sttion of th¢ Clwity and to enable them to ensure that th¢ financial statements con)ply with tbe Charities Act 2011.
They are also responsible for safrguarding the a&8ets ofth¢ clwity a￿j hen(x taking reasonable stEPS for the prevemion and
detection of fraud and other irrttsularities.
This was approved by the truslees o
alld signed oll their bebalf, by:
Iq /zoiS
WAH SUNG VINCEKF MAK
CHAIR OF TRUSTEES

CAMBRIDGE MUSELJN OF TECHNoL(￿y
PAGE 6
FINANCEAL STATEMENTS FOR THE YEAK ENDED 31ST MARCH 2025
rNDEPENDwf EXAMINERS, REPORT TO THE TRUSTEES OF cAMBRll￿E MUSEUM OF TEcEfHoLOGY
I report to th6 TTUStee5 QD rny ex&rnination of the accoutts of c•m￿ldge MU￿]ll of Technology Charitable IDwJpoTated
Organisation {Ybe CIO,) for the year ended 31 March 2025.
ESPONSEBILJTIES ￿ND BASIS OF REPORT
As the trustees of the CIO you ar¢ r¢spoDsible for the prq)uThtion of the accounts in accorthce with th¢ requirements of
tbe Clwities Act 2011 (Ibe Ace).
I report in respect of my Examixthon of the CIO'5 accounts catrÉed out ￿der 5Xtion 145 of the 2011 Act and in Canying out
my exaMiDation I have followed all the wlicable Directi0ts5 given ty the Cb8rÈty Cojnmission under 5Ktiou 145(5)(b) of tb¢
A¢L
I have cornpleted my exatllination. I confinn thot no roatrriai n￿llerS have to w attentioll in corjnection with the
exan]iDatiim giving me ￿U5¢ to believ¢ that in ally rn8teTial r¢spectr.
(l) accountingrecords were not k¢pt as Tequiredby section 130 of the Act or
(2) tbe accounts du llot accord with those T￿0T￿s. or
(3) the account5 do llot cotnplywith the app￿"¢able requtrements c41ncerning the forni and wnt¢nt of accounts set out in
the ClwÉtiEs (Accounts and Reports) Rc8ulations 2008 other thall gmywuire]nent tbat the accounts giv¢ a
ue and fair view Nvbieh is not a matter considered as part of an ind¢pen¢knt examination.
I have no e4)neerns and have cO￿e ￿[0$5 DO other iD wDllectioll with the examination to which att¢utiOYJ should
be drawn in this rewrt iu orderto cthlE a pro￿ u￿de￿￿]ng of the accounts to ￿ Teached
N W SHIPLEY FCCA
FOK AND ON BEHALF OF
PREYfIs & CO LLP
CHARTERED ACCOL￿. TAFrrs &
115c Milton Road
Cambridge
CB4 IXE
QKtr(b

CAMBRIDGE hfjUSEUM OF TECHNoU￿y
PAGE 7
FtNANCJAL STATEMBNTS FOR THE YEAR LNDED 31ST MARCH 2025
STATEMENT OF FtNANCIAL ACTIVITIES
Unrestrieted R¢stricted Totsl Funds
Funds
FuDds
2025
CURREf4T YEAR
Note
INCOME FROM..
Charitable activities
Grallts and dO]￿tionS
Investment iD¢ome
117,824
6,894
1.273
117,824
21,894
1,273
15,0(M)
TOTAL INCOME
125.991
Is.000
140.991
EXPENDLTURE ON..
Charitable activities
Raising fimds
TOTAL EXPENDITURE
92.282
5,364
57.394
149.676
5.364
97,646
57,394
155,040
NET MOVEfvtENT I.V FUNDS FOR THE YEAR
RECONCILIATION OF FUNDS
Totsl Funds & 1st April 2024
Tothl Funds at 31st March 2025
28,345
(42J94)
(14,049)
46.615
1,443,608
1,401,214
I,4￿,223
74.960
1.476,174
PIUOR YEAR
Not&4
Unrestricted R¢$tricted Totsl Funds
Funds
FWJ
2024
INCOME FROM:
Charitsble activities
Grants aud donations
Investrnent inco￿¢
120,624
5,020
342
120.624
58,786
342
53,766
TOTAL INCOME
125,986
53.766
179.752
EXPENDITURE ON:
Charitabl¢ aGlivities
Raisitig fund5
TOTAL LXPENDITURE
105,642
3,733
109,375
33,407
60
139,049
3,793
33,467
142,842
NET MOVEMEKf IN FUNDS FOR THE YEAR
16,611
20,299
36.910
REcoNC￿lATION OF FUNDS
Totat rwth at 1st April 2023
Totsl Funds &t 3 1st March 2024
30,004
1.423.309
1,453,313
1,490,223
46.615
1,443.608
The StstellLent of Financial Activitieg iticludes all gains and lossts recogllised in ixyth peri(Kts. All income and expenditure
derive from contillui￿g activities.
The notss on pages 10 to 17 foTtll part of fiDanGial statements

CAMBRtDGE MUSEUM OF TECHNOLOGY
PAGE 8
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2025
BALANCE SHEET
Notes
2025
2024
FIXED ASSETS
Tanwl)le wets
TOTAL FIXED ASSETS
io
1,517,722
1,517.722
1,541,088
1,541,088
CURRENT AssErs
Stock
D¢btors
Cash at bauk
150
15,888
46.352
150
13,212
58.358
TOTAL CURRENT AssErs
62.390
71,720
CREDITORS.. Amoullts f￿ling
due within oTh¢ year
12
{66.916)
(62,184)
NEf CURRENf ASSETS
(4,526)
9,536
TOTAL ASSEfs LESS CURREKI
L￿B￿IllES
1,513.196
1,550,624
CREDITORS.. knowits falling
due after more than One yeur
13
(37,022)
1,476.174
(60,401)
1,490,223
NET ASSETS
THE FUNDS OF THE CHARITY
Restricted fijnds
Unrestrict£d funds
1,401.214
74.960
1,443,608
46.615
TOTAL CHARITY FLfNDS
14
1.476,174
1.490,223
These fi￿all¢la1 stat¢ments were appmved bythe Board of Tn￿ and authorised for issue on .... .. .
d WeTe signed on their bebalf by..
BHAGW
TRUSTEE
NAGARGOJE
The not¢5 page5 10 to 17 forni part of these fi￿a￿la1 statements.

cAmBRll￿E MUSEUM OF TECHNoL￿V
PAGE 9
P[NANC￿L STATEME￿ FOR THE YEAR ENDED 3IST MARCH 2025
STATEMwf OF CASH FLOWS
Note
2025
2024
CASH PROVIDEDI(USED IN) BY OPEIi4TING ACTIVITIES
18
(1,737)
48.565
CASH FLOWS FROM INVESTING ACTtVlTIES
Bauk interest
Purcha5¢ of fixed assets
1,273
(11,$42)
(10.269)
342
(12,158)
(11,816)
NET CASH USED IN INVEsT￿G ACTMTIES
CHANGE IN CASH DLIUNG THE YEAR
TOTAL CASH AT THE BEGINNING OF THE YEAR
{12,006)
58,358
36,749
21,609
58,358
TOTAL CASH AT TKE END OF THE YEAR
46.352

CAMBRtDGE MUSEUM OF TECHNoL￿y
PAGE 10
F￿ANCIAL STATEMENfs FOR THB YEAR ENDED 31ST MARCH 2025
NOTES TO THE FINANCIAL STATEMEF<rs
GENERAL tNFORMATJON
The cFRrity is a public I￿efit entity and is a re￿ered clwity in En*d and Wales and is incorporated. The
addre55 of tht principl¢ office is The Old Pumping StatioD, Chedths Lane, Cjmbiidge, C8mbTidgesbir¢,
CBS 81D.
STATEMENT OF COMPLIANCE
These financial statemellts bavc been preptred in coropliance with FRS 102,'The Fil￿1¢1￿1 Reporting
Standard applicable io the and the Republi¢ of Jrel&nd, the Statem¢Dt of Re¢ommend¢d Practice
pp]icable to ¢harili￿ preparing thcir aceounts in accordance witb thE Financial Reportillg Standard
&pplicabl¢ in the UK and Republie of Ireland (FRS I￿2) (Cbarities SORP IFRS 102) ￿)d the Clwities Act
2011.
ACCOLryTING POLICIES
(a) BASIS OF PREPARATIO
The financial State￿Ents bave been pr¢pgTed onthe bistOTical ¢o&basis. as modified by the reVa]u￿10￿ of
certain financial assets and liabilities. iacludiDg IKTitsge assets.
The fiuan¢ial StateD￿nts are prepared ID sterli￿ Mpbith is the fittKtioDa] CUTrency of the e￿tity.
(b) GOING CONCERN
TbE Trustees are eonfident that th¢ will continue a5 8 going concern.
A nuM￿r of steps have been taken to reinforce the financial ]￿ltiOn of the Museum and so support our
conclllsions in this regard These stqkq include. Ten¢g￿latIOn of the ternjs of financing 8Th9￿ge[Dellts, GOSI
reduction measurEs a drive to incre&se income through a greatr rdDge of activili¢s the Museum c4n
PTovid¢ and offers. Additionally a sigDificaDt sector ￿p￿IfiC g￿t has becn awarded to the Museum which
will enable th¢ Museum to mainlain wrrent activities and proTrqde fm8ncial resili¢nc¢ forthe lonEer te￿.
{c) FUN'D ACCOUN'TtNG
Unre3tricLed fiLDts are available for use atthe diSCretit￿ of th TnLStees to furfher ony of th¢ ebaritys
purposes.
Designated fuDds are UDrrstiicte4J fiuKb by the Ttuste¢5 for ￿l¢l￿ar future project or
comrnilTnent.
Restricted finds are subjected to Testrictions on their expendittwe dEclared by the di)nur or through th¢ t¢Tm5
of appeal. and fall into ODe of two suFrflasse5: Testricted illcome ￿ndS tsr enoowment fi￿￿s.

CAMBRIDGE MUSEUM OF TECHNOLOGY
PAGEII
FENANCIAL STATENIEwfs FOR THE YEAR ENDED 31ST MARCH 2025
NOTES TO THE FINANCIAL STA TEMENTS
(d) INCOMING RESOURCES
All incoming ￿sOUrCeS ar¢ included on the Stalement of Financia] Activities entitlement passed to
the ¢haDty. it is probable thatthe economic Ixnefits ass￿l&led witb the transaction will flow to the charity and
tbe ￿oU[rt call be re]iabty ￿￿Ure<L The followfftng specific rA)licies are applied to parttCLllu categorAe5 of
incollle."
• income frora doDatio]ts or grdnts is recogDised whe¥L there is ¢vid¢D¢e of entitlement to the gift, receipt is
prijbable and its amount Can be me&$ured r¢liabty.
. legacy income is reco￿]sed when re￿ipt is probable atw] entitlement establishe(L
' incojne from donated SO￿ i5 measuT¢d atthe hir value of the goods unless thi5 is ityiracti￿1 kn measur¢
reliably, in which G&8e th¢ value 15 deTived from the cost to the donor or the estimated resale value. Donated
facilitie8 and services aTe recognised in the a¢couDts wbell received if the value can be reliably ￿easUr¢d.
No aniounts are ju¢lL￿¢d for the CODtribution of geDeral volunt¢¢rs.
' income from contraths for the Supply of services is recognised ￿7th the d¢liv¢ry of the CODtrdctcd service.
This is classified as UTrTestricted funds wiles5 there is J rtquiremeDt foT it to be spent on a
partlcular Pur￿Se and r¢turncd Tf unspeDL in which c￿¢ it may be regar(kd ps Testricted.
' income from m¢mb¢rsbips is T¢cogu]s￿ whets received ratherthaTh accrued or deferrecL
(e) RESOURCES EXPENDED
Expenditure is recognised on an accruals bt%is &% a liabllity is inCLured. ExF￿d1ture includes ally VAT wbith
cannot be fidly recovered, and is cl&ssifjed Underhe￿I]ng3 ofth¢ State￿ent of Financial Activities to which
it rElat&s:
' expetKliiure on rnising funds includes th¢ w5ts of all funth3ising activities, ¢V¢TL9, non-charitable ti￿)llg
activities, the sal¢ of donated g(M)ds.
' expeTKliture on tharithble activities incltujes all costs incutted bya charity in unthrtaking activities tha¢
further its charitable aitDS for the beDefit of benefiCi￿]es. Tncluding those swort costs aDd costs relating
to the govern￿¢¢ of the clkrity apportioned to tharitsble activities.
' other expellditure includes all exp¢nditswe tltht is neitherrelated to raising funds for thE I]wity nor part of its
expenditUTe oll tharitable activities.
All Costs are allocated tt> expenditure cateuories refl￿ting the ELfe of tht resource. Dire£tcosts attributyble
to a singlt activAty are allo¢*ed directly to thaf activity. Shared costs are apportioned between the activfftties
tkny contnTrJute to on a Fw%onabl4 jusÈifi8bie a]￿ con5iStert bpsi&
{fj TANGIBLE ASSETS
Tangiblc asscts arc illitially recorded at costs aDd subsequently stated at cost le&9 a￿Y a¢¢umuloled
depreciatioll attd impainneDt losses.
Igl DEPRECIATION
Depreciation is calculated so as to MTile offthe wst or Wah￿tIOn of 8D as5eL less its residual value. over the
usethl economic lif¢ of that asset a5 follow5:
Fixture8 and fittings
Freehold property
. 21PA rcdllcing ba12Dce
- 2Vts straigbt line

CAMBRIDGE MUSEUM OF TECHNOLOGY
PAGE 12
FfNANCIAL STA TEMENfs FOR THE YEAR ENDED 3 1ST MARCH 2025
NOTES TO THE FINANCIAL STATEMENTS
(h) HERITAGE ASSETS
H¢ritage assets ￿￿e￿￿red underthe c4)stmodel are reCo￿lS¢d iDitsalty recorded at wuisition cost. and
5ub5equently stated at cost less any ac¢umu]ated dep￿ciatIon and impairtiwit losw.
Heritrge a&qets measured Und￿th¢ r¢valuatioll ￿0de1 are recorthl at faiT value less ally accumulated
itnpaiTment10s8e$.
When i]]for￿￿tI[￿ on the cost or value of an a85et is not awlable and cannot b¢ obtEined at a cost which is
coum]¢nsuTzte with the benefits to users of the financial statgnTr￿ts, the a55et shall not b¢ reco￿ls¢d tn
the statement of 6nÈllcial position.
li) ST(￿Ks
Stocks Jr¢ estin]ated at the lower of cost and e5t[u￿ selling price less costs to complete a￿d Sell. Costs
iDcludes all costs of pur¢b85¢, ¢0sts of ¢onversioll and other costs incurred ill bringing the 5ttKk to its present
location and eondition.
ti) DEBTORS
Debt0￿ are Te¢O￿ls¢d &tthe settlemt a￿o￿lt less aDy diwunt orwtriclion OD recoverability.
(k) CREDITORS AND PROV£SIONS
CrediioT5 are recognised where the charity b&s a pre5cntobIigation resuliiDg from a past eventthat will
Probably resu]t in the traosftr of fjmds ts) a third party w)d the due to settle the obligation can be
m￿Sured or estirna￿d reliabty. Cr¢ditors and provisions noTmally reeognised at their settlement date.
(I) PENSIOIF
Tbe company CODtribut¢5 to a defill￿ cothlmlioD pension s¢heme for each ernployee accordiDg to its
legal obligaÉiolls. Those assets are beld separately fr(mi the charity ID yndepelldently athnini5tered fund&
There were no contnl)u¢io]]s outstathdiDg at the year en(L
GRANfS ANT) DONATIONS. CURRENT YEAR
Total
Funds
2(125
UT)Testricted Restri¢led
I￿ulld8
Funds
Donations (including Gift Aid)
Foyks Foundation
6,894
6.894
15.1M>O
15,000
6,894
15,000
21,894
4b.
GRANTS AND DONATIONS. PRIOR YEAR
Unrestricted Re5tiicted Total Funds
Funds
Fund5
2024
DoJ￿110ll5 (iDGluding Gift Aid)
National Lottery
Reach ￿allt
Norfolk City Counci]
Tesw Bags of Help
4.020
4.020
49,966
800
3.000
49.966
800
3,000
I.¢N)o
S.￿20
53.766
58.786

CAMBRIDGE MUSEUhd OF TECHNoU￿y
PAGE 13
FINANCIAL STATEM￿￿Ts FOR THE YEAR ENDED 31ST MARCH 2025
NOTES TO fHB FtNANCIAL STATEMEbTS
CHARITABLE ENCOME
Totsl
Total
Unrestricted Unrestricted
Fund5
Fund5
2025
2024
Admissions
Commercial Partners, Fees
Membership (including Gift A7d)
Shop s&les
Other income (including services a￿d ts?￿￿￿)
36,096
68.422
830
2,816
9.660
34.922
74,904
124
5.076
7,598
117,824
120,624
rNVESTMEwf INCOME
UT]restricted Unrestricted
Funds
FuTrd8
2025
2024
Bth Intere￿ receivable
.273
342
EXPENDITURE ON CHAIUTABIE AcrivtTIES BY FUND TYPE
. CURKENT YEAR
Total
Funds
2025
Uurestricted Restricted
FuDds
Funds
Salari&
Site Tnaintenance
Utiliti25
Raies
Coke and gas
Insurance
Lcgal a¢¢o￿ting
Enweer's house rent
Mi5¢ellan¢ous
Depreciatio
Loan interest
28,866
3,048
9,391
795
719
10,120
6.389
15,667
5,536
6,846
4,￿)5
29J32
58,198
3,048
9.391
795
719
10,120
6,389
15,667
5,536
34,908
4,905
28,062
92,282
57,394
149,676

CAMBRIDGE MUSELM OF TECHNOLCQY
PAGE 14
FINANCIAL STATEMEbrtS FOR THE YEAR ENDED 31ST MARCH 21Y25
NOTES TO THE FINANCIAL STATEMEN13
7b.
EXPENDITURE ON CHARITABLE AcfIviTFES BY FUND TYPE
. PRiOR YEAR
Total
Unrestricted Restri¢t¢d
Funds
Funds
2024
Salari¢s
Site maintenanre
Utilitie5
Rates
Cok¢ and gas
Colle￿lOn mallagement
Insurance
Leg&] alld accounting
Engine¢￿S house
Miscella￿0
Depreciation
Loall illtere5t
31,702
2,233
14,979
421
165
28
9.499
13.761
15.667
4.383
6,5Y2
6.212
31.702
7.248
14,979
421
165
28
9,499
13.761
15.667
4.383
34.984
6,212
5,015
2&392
105,642
33,407
139,049
ExPEN￿lTURE ON R￿SING FUNDS BY FUND TYPE
Totsl Ut)restricted Restricted
Funds
Funds
Fwids
2025
2024
2024
Total
Funds
2024
Fimd5
2025
Funds
2025
Advertising and markeling
Events expeDse5
3,031
2,333
3.031
2,333
3,088
645
3,148
645
5.364
5,364
3,733
3,793
NET fNCOMfNG RF.SOLRCF.S
This 15 Sta¢ed aft£r chaTgsng'.
Depreciation of tangible fixed a&%ets
Fees payable for the examination of the financial statements
2025
2024
34,908
1.560
34,984
1.452
TANGIBLE FIXED ASSETS
. CURRENT YEAR
COST
At 1st ApriI 2024
Additions
Fixtiues &
Fittings
Fi¢ehold
Propety
Totsl
20.894 1,666,203
1.327
10.215
1,687.097
11.542
At 31st March 2025
22321
1.676,418
1.698.639
DEPRECIATION
At 1st April 2024
Charge tor the y
At 31st March 2025
13.838
1.522
132,171
33,386
165,557
146,009
34,908
180,917
15.360
NET BOOK VALUE
Ai 31st March 2025
6.861
1,510,861
1,517,722
Th¢r¢ 15 a cbarge on th¢ pro[￿ ID favour of th¢ National LA>ttery H¢ritage Fund.

CAMBRll)GE MUSEUM OF TECHNoU￿y
PAGE 15
FINANCIAL STATEMENTS FOR THE YEAR ENDED 31ST MARCH 2025
NOTES TO THE FINANCIAL STATEMENFS
lob.
TANGIBLE FIXED ASSETS
. PRIOR YEAR
COST
At 1st April 2023
Additions
Fixtures &
Fittings
Freehold
Propety
Total
20.474
420
1,654,465
11,738
,666203
1,674,9J9
12,158
At 3 1st March 2024
20.894
1,687,097
DEPRECtATION
At 1st April 2023
Charge for the y¢ar
At 31st March 2024
12,073
1.765
98.952
33,219
111,025
34,984
13,838
132.171
146,009
NET BOOK VALUE
At 31StMa￿h 2024
7,056
1,534,032
1,.541,088
DEBTORS
2025
2024
Debior5
Prepayments
13,499
2.389
l5,888
10,564
2,648
13,212
12.
CREDITORS: AMOUKfS FALLING DUE wrrHIN ONE YEAR
2025
2024
Creditors
L(Ydns
Accrua]s aDd deferred it)come
Otber creditors
4.313
59,500
1,680
1.423
1,971
58.000
1,615
598
66.916
62,184
13.
CREDITORS.. KMOUNTS FALLENG DUE AFfER
MORE THAli ONE YEAR
2025
2024
37,022
60.401
The c]wiry has a loatÈ with the Architr￿ Heritage Fund of £IOO.000. The amount outstAnding lg of the end
of tb2 FY £55,022. AHF had agreed a re￿Ced monthly repayment (￿l¢b in¢ludes capitsl as well as
in￿reStp￿￿7llents) until at least ApTiI 2025, with payments exlenthng until the loan 15 repaid, wt¢ntiJlly up to
2030.

CAMBRIDGE kIUSEUM OF TECHNOLOGY
PAGE 16
FINANCJAL STATEMEKfs FOR THE YEAR ENDED 3 1ST MARCH 2025
NOTES TO THE FINANCIAL STATEMENTS
STATEMENT OF FUNDS
. CURRENT YEAR. 2025
Brought
forw7rd
ca￿led
Income Exp¢nditwe forw
Unrestricted fvnd5
General fijnds
46.615
125.991
(97,646)
74,960
R&%trietsd funds
- National Lottcry Heritage Fund
- National Lottery Heritage Futtd
- Pye History Tn￿t
Rea¢h
- HistOTiC England
H¢Titsge S¢hool
- Education Services
- Foyle5 Foulldatiim
1.161.698
49,966
48.006
336
114.362
67,535
1,705
(232771
(27,998)
(962)
(67)
(2,291)
(1,353)
1,138,421
21,968
47.044
269
112,071
66.182
1,705
13.554
15,000
(1.4461
(57,394)
(155,040)
1,443.608
15,000
1.401,214
TOTAL FUNDS
1,490223
140.991
1,476,174
14b.
STATEMEKT OF FUNDS
- PRIOR YEAR- 2024
Brought
Carried
forward
Inco]ne ExTJ¢ndItt￿e
UDr¢strteted funds
General fi￿d3
30,004
125.986
{109.375)
46,615
tridea fuTrds
- National Lottery Heritsge Fuud
. National l.ottery Heritsge Fund
. Pye History Tn]
- Re2cb
- Historic England
H¢ritage School
- FAlucation Servi¢es
. Share Mus¢u￿$ E&st
.185.329
(23,6311
1,161,698
49,966
48,006
336
114.362
67.535
1,705
49.966
48,983
(977)
(464)
(2.326)
(1,374)
(1,695)
(3.000)
(33,467) 1.443,008
{142,842)
1,490223
800
116.688
68,WJ9
3,41M>
3.(M)O
1,423 J09
53,766
179,752
TOTAL FUNDS
1.453.313
National Lottery Heritage Pye History Tn￿ Hist(ric Fa￿alld and Heritsge School w¢r¢ all grants
provided towanIs the eapitsl costs of r&storing the buildings of the Musewn.
Reach Share NIu5euTns E&*t were grants formaintffl)ance and e]thling the Museum to wotk towards
rwhing Wef Zero,.
EdLKatioDal Services was a grani towards school visits erKI education.
National Lottery Heritage Fund and Foyle Foundation ar¢ to Ix expended in the following years on
supporting the Museum in tertns of volunteers, recruijmeni maintenance, digital and educational oppOrt￿lItieS
and events.

CAMBRIDGE MUSEUM OF TECHNOLOGY
PAGE 17
FtNANCIAL STATEMENTS FOR THE YEAR ENDED 3 1ST MARCH 2025
NOTES TO THE FtNANC'IAL STATEMEKrs
15.
ANALYSIS OF NET ASSETS BEtWEEN FUNDS
Unrestricted Restricted Totsl FuDts UJ]re5tri¢ted Restricted Tot￿ fun
Funds
Funds
2025
Funds
FKmds
Fixed assets
152.789
l J64,933
1.517.722
149,151
1,391.937
1.541,088
Net current liabilities
Long tcrm liabAlities
(40.807)
{37.022)
74.960
36281
(4.526)
(37,0221
1,476.174
(42.135)
(60,401)
46,615
51,671
9,536
(6Q,401)
1,490,223
1.401214
1,443,608
10.
TRUSTEE REMUNERATION AND RELATED PARTY TRANSAcfioNS
Neitherthe T￿￿1<¢5 nor aDy persoD5 Co￿n￿ with them have received #ny remuneratiOD, either in the
CUJT¢llty¢8r or tbe prior year.
During tbe year total exr*nses of £3,168 (2024: £1,095) were reimbursed kn I"nthes.
DoDations totsllmg £Nil (2024.. £1(X)) were Tec¢ived fmm TnLStees.
A loan wLq received in PTeViOUS years from M Bkn(kb￿ a fornxr Tnistee. The a￿0[￿t outstanding at the
end of tbe year was £40,000 (2024.. £40:000).
17.
STAFF COSTS
2025
2024
Wages and SaI￿leS
Social security costs
PeDsion contributions
Payroll sffviees
55.078
29,368
905
2.215
506
1,828
58,198
31,702
The Trustees consider theDJs¢lv¢s key are notTemuDer*d.
No e￿P10yce r￿elveS a sa]ary of more thaD £60,000 annum. The aveTJge number of staff employed
by the charity is 4 (2024.. 2).
18.
STATEMENf OF CASH FLOWS
Totrl
F￿{ts
2025
Total
2024
CASH FLOWS FROM OPERATtNG ACTIVITIES
N¢t ￿0ve￿ent for the reporting period (a5 W tbe SOFA)
Adjustment for.
Interest receivable
Depreciation
Decrease in creditors
tncrease in deblors
(14.049)
36,910
(1,273)
34,908
(18.647)
{2,676)
(1,737)
(342)
34,984
(15.929)
(7,0581
48,565
Net cash provided by OP¢Tating activitie5