Company No.. 08583196
Registered Charty No., 1157678
En¢ryy Evaluatton Llmlted
Trustees, and Dlrectovs, Re￿rt
and Unaudlted Flnancial Statements
for the year ended 30 Septthnbèr 2025

Energy Evaluation Limited
Corrtents of the Flnanclal Statamants
for the year ended 30 September 2025
Contents
Twstees, and Directors. Annual ReKx)rt
Independent Examiners, Re￿t
ststement of FinarKial AclNit
Bala￿e Sheet
Notes io the Accounts
8-10

Eneryy Evaluation Umlted
Trustees. and Directors. Annual Report
for the year ended 30 Septernber 2025
The Twstees a￿1 Dire¢tors present th￿r and acC￿nts for ts year eThJed 30 September 2025.
RefereThc• and Adminlstratlvfr Infomiatk>n
Energy Evaluation Limitgj, a cunpany limJi6d by guawtee. was incryrteAI on 25 June 2013,
Company Number.. 08583196. On 1 Juty 2014, the company wa5 enter8d on to the Central Register of
Charitie8, Numbar. 1157678.
The Charty thanged it8 name to EnepJy Evall￿tiOn Limited on 1 September 2018.
Prlnclpal Addrgss
Brook Hou8e
Moss Grove
Kingswinford
Wesl Midlands
DY6 9HS
Registered 0ffl¢o
Brook House
Moss Grove
Kingswinford
Wesl MidLqnds
DY6 9HS
Independent Exarnlners
Wilkes Tranter & Co timited
Brook House
Moss Grove
King8wnford
West Midlands
DY6 9HS
TnBto8s and Dlrector5
The Trustees and txrectors who have b￿n ncffiinabl aPp¢in￿ are..
MrJSBrtX
Drs K Thomas
Ms J A J Van Der M8uE8n
Ms Awalia
MsMLCWodèn
M8 N Campbell
Ms L M Groves
Mr J S 18 the Chalr of the Chartiy.

Eneryy Evaluation Llmited
Trusteeg, and Directors. Annual Report
forthe year ￿ded 30 September 2025
(Continued)
Structure, Govemanc8 and Management
A limited company by gu8tsnte8 also a registe￿1 Charity, Ihe wisatb?n is administered by a Boartl of
Directors who are al$0 Trustees of the Chanty.
Trustees are recrutted fnjm p* who have experience aThl ewtise to advance the Charity's objectives.
New Trust￿ undergo a pr(gramThE of induction F*rfomHI by the oxisling Tnth8S.
The Trustees have examined the Mai￿ strategic business and operalK￿l risks wh￿h the Charity kns and
onfimi that Systems hav8 t*en established to enable regU￿r reports *0 be so that the necessary
steps can be tsken lo reduce those risks.
Objectlves and Aclivities
The princip￿ actnity of the Charity during the y&8r undèr revEw was lo adrdnc8 the education for Ihe publ
benefit in the Su￿.eCt of eVaIL￿tIOn of energy poly and pr(xJrammes: through the otyanisation of confer8nce8.
Whilst undertaking the above menti¢)ned &tNities the Trustees W dL* regard to guidance pubb"sh8d by th8
Charity Commission on publi¢ benefft 18sues.
Achl6v8ments and Perforn￿nG&
The Charty a Conferen￿ in Berjin. Gemlany On 25 arKI 26th Sept￿rt)er 2025. Thi5 was a successful
onference, the attendance was good arKI amission fees h4qh however it drd not attract signfficant
sponsorship income and as a resuh rt made a sjgnifieant financk41 k)ss.
The board are evaluating the bus￿￿ rnodel and plan to cary out the next confernn* in Talin, Estonia in
Odober 2027 with a dnYer8nt o)sl base.
The Asia Pacffic conference C￿tinUes lo carry out an cfiline nDJel and has ils ￿xI round of conferenGes in
OCto￿r 2026.
Financlal Revièw
The Charity r￿￿e8 swn80tship and regislration incom8 are then utilised in achi8ving th8 objects of
the Charty.
During the year ended 30 Septernb￿ 2025. the Charity receive(I donations and income from charilab
activities amounting lo £52.281 (2024- £8.¢￿) out of whth £63.L%512024 - £28,820) was spent in pursuit
of the Chartty's objectNes. At 30 September 2025. £15:98912024- £28,939) heky in Unrestricted Funds
and £13,359 (2024- £10,791) was hekj in Reslrirt&J Funds.

Enenjy Evaluatlon Llmlted
Trustees. and Directors, Annual Report
forthe year ended 30 September 2025
Icontinuedl
ReseN85 Polky
The poiicy of the Trustees is to ty and maintain sufvenl re8eNe8 to cover an immed* year of unrastricted
experKlitur& and management and supwrt Costs.
Trustees. and Dlroctors. responsibilhles
The Trustees who are 21s0 directors of Enew Evaluation Limlted for the purposes of company law are
responsible for preP￿ng the Tmstees Annual Rewt and the financial statem8nts in accordanc8 with
applicable law and United Kingdom A￿l￿ntl￿d Standards. (Unit￿￿ Kingdom Generalty A¢¢epted Acccwnting
Practice).
Company Law requires the Trustees to prepare finarrAal slatements for exh financial year whKh give a true
and fair view crfthe stste of affairs of the charrtabk company and of th8 incomiNJ resources and applI￿1￿)n of
resources, inGludiThJ the income and expenditure, of the charrtable company forth& year. In preparing these
financial 8talement$ the Trustees are required to..
select suitable ￿cOUnting policies and then appty them consistenty.,
observe methods and pri￿1p￿S in the charit￿ SORP 2019 (FRS1021'
make judgments and estimates that are reasonab￿ arKI prud8nt',
state whether applicabEe UK Accxyunting Standard5 have been follryw&J, subj&t lo any matèrial
departure8 disclosed and explained in the financial statements,.
prepare the financral stat&ments on the gc¥ng C<￿ basis un￿S it is inappropriate to presume that
the charitable company will continue in Operat￿1n.
The TTUStees are responsfole for keeping 8d4uate accounlirg recnrds that diselosewith reasonable accuracy
at any lime the financial position of the charitable company arKI enable th8m to ensure that the financial
8t8lements compty Mth COnwan￿8 Act 2LKk3. They are a&0 reswnsible for safeguarding the assets of
the charitable company and hence for iaking r8asonable sty tor the prevenb.on and detectKJn of fraud and
other irregularities.
In ppparing Ihe above report. the Trustees an(J Directors have taken afv8lltage c* sp8cial provisions in Part
1£ of th8 Companies Act 20[￿ relating to smal comFonie¥.
This report wa8 approved by the Board of Dir￿t018 and Trust￿ on 19 Jun@ 2026 and Signed on its beha
JSBr
tMr8ctor and Trustee

Independent Examlnevs Report to the Trustees of
Eneryy Evaluation Llmltod
l ffjport to the Charty Trust￿ on my exWn1nat￿ oflhe accounts of Energy Evaluation Limited for th8 year
end￿1 30 September 2025 which are set on pages 5 to 10.
R8sponsibilitios and bas18 of report
A8 the Charity Trustees of the company land also 118 direL*ors for the purposes of company law) you are
rtsponslble fLY the preparatbjn of the accounts in ace￿ance wrth the requirements of the Companies Act
2006.
Hawng satisfied myself that the actcMJnts of the company are tvx rwuired to be aiKlrted under Part 16 of the
2006 Act and are eligiblefor indepMd8nt examination. I report in respecl of my examinaliDn of your compan*s
accounts as carried out under Section 145 of the Charibes Ad 2011. In carrying out my examinat￿Th I have
followed the directions gNen by the Charty C(¥TmiSSb)n undw Sthn 145(51(bl of the 2011 Act.
Independent exarnlnorfs s￿ement
I confimi thal l am qu8lrf￿d to uThdert8ke the ex￿Niat￿)n becau8e l am a memb8rof The Institute ofchartered
Accountants in England and Waks.
I have completed my 8xamin8tion. I confirm that no matters have come to my attent￿ in connection with the
8xaminatton gNing me cause to bdieve that in any material respect
accounllng r￿rdS were not kept in re8pect ofthe company a8 required by s￿l9n 386 oflhe 2006 Act..
or
the ￿COUnts do not accord with those rerords; ¢y
the accounts do not compty ￿th the accounting requirements L* SectK)n 396 ofthe 20￿ Act otherthan
any requirem8nt that the aCt￿nIS give a Iwe and fair vw, wh￿h is ncrt a matter considered as part of
an independent examination.. or
the ￿)unt3 have not been prepared in ac(¥)rdance wrfh the m8thods ané prinuplas of the Statement
of Recommended PractKe for aCC￿nting and reporb.ng by Charr(￿5 (applica)le to Charitiès, preparing
their accounts in aCcOrdar￿ the Financial ReForting Standard aPp1Kab￿ in the UK and Republic
of Ireland {FRS 1021).
I have no concems arKI have come across other nWers in connertDn V+ith the examination lo which
attenlK)n should be drawn in this report in order lo enable a proper understanding of the accounts to be
rvdched.
Cbitst
D l Hotthkiss
Chartered Accountartt
Brwk House
Moss Grove
Kingswinford
Wesl Midlands
DY6 9HS
19 June 2026

Etwy Evaluatlon Limited
Statsm8nt of Flnanclal Activities
for the year ended 30 Septembor 2025
Unrestrkted Restrithd Total Funds
Funds
Funds
2025
2024
Incomlng R88ourc88
InGoming resources frcffi ch*itab
activili&s
52,281
8,000
Total Incomlng resources
48.504
3.771
52.281
8,000
Resources Expended
Costs of Charitab￿ 8CtNrtie8
59.881
1.435
61,316
25,173
Govemance costs
1,749
1,749
1,647
Total resourc•s oxpènded
61.630
1.435
63.065
26.820
Transfers between fijnds
Other wcognised gains
176
226
2.111
Net movem¢nt in funds for the year
(12.950)
(10.3821 116,709)
Totsl brought forward
28,939
10.791
39,730
56,439
Total funds carrl8d for¥rdrd
15.989
13,359
29,348
39,730
The Charity has no r￿JnIsed wns rx k6ses other than the tcrtal irKuning resourees total resources
expend&J as nc*ed above.
The notes on pages 8 to 10 fomi an integrd part of Ihese financ￿1 8tatements.

Energy Evaluatlon Umited
Balance Sheet
as at 30 September 2025
30 Soptwnber 2025 30 Sept•mber 2024
Curront Assats
Cash al bank and in hand
65,818
41,242
65,818
41.242
rodltors: (amounts falllnll
due wlthln one year)
36,470
1,512
Total assets less currènt liabllltles
29.348
39,730
Net asS9ts
29,348
39,730
Fund3 of the Charity:
Unrestricted funds
Restricted fund8
15,989
13,359
28,939
10,791
Total funds
39,730
The di￿orS. statements required by seCtiC￿ 47512) ￿ {3) are s￿￿n on the following pape which frI￿nS
part of this balan￿ sheet.
The notes on pages 8 to 10 fomi an integral part of th8se financHI statements.

Energy Evaluatlon Limited
Balance Sheet
forthg yoar ended 30 Septemb8r 2025
{Contlnuedl
Forthe ye8r ended 30 Sept￿be[ 2025 the company was entitbd to 8xemptKJn from under s￿tion 471 of thè
Companies Act 21￿6 relating to Small &Jmpart*.
DirectOTS' and Trustee8' resp(￿lbilitI&g'.
The members have not required th8 company to obtain an audit of ts accounts for the ye8r in qu8Stion
in accordance with Sectic¥i 476; and
Th@ Directors and Tnjstees ackn¢)wledge their responsibilities for crxnptying wlh the requirements of
the Act wth respect to accounting ￿#)rdS and the preparation of ￿counts.
These accNnls have been prepared in xcordance with the provBions app1￿le to ccffipanies subject lo the
small companies regime.
These a¢¢ounls were approved by the board on 19 June 2026 and are signed on its behaw by:
JSBro
Dirgctor and Trusts8
Reglstration numbor: 08583196
The notes on pages 8 to 10 fomi an integral part of these financHI statem￿.

Eneryy Evaluatlon Limlted
Notes to the accounts
lor the year ended 30 Soptèmber 2026
Accounting Pollcies
1.1 The ￿OUnts have been prepared under the historical c￿1 cOnVenth￿ in accordance with applicable
accounting standards and the recommendth.ons in Stalemenl of Recommended Practice
'Accounling and Reporting by Charibes, (SORP 2019 (FRS 1021) and compty wth these Charities
{Account8 and Reportsl Regulation 2005 issu&J under the Charl￿$ Ad 2011.
12 These financHI statements have prepared in ￿mplial￿ with provisior* of FRS 102. SectKJn 1A.
'The finanaal Repc￿ting Standard applicaNe in the UK and Republi¢ of Ireland..
1.3 Voluntary income receNed byway of dDnatK)ns and gilts tots Charity is incI￿jed in full in the Stal8m@nl
of Financkql AtXMI]e8 ware received.
1.4 IntrdngikAe income is valued and Incl￿1￿ in inwme to the extent that il wresents gocxjs or servic8S
which would otherwk8e be purchas&J. ￿ere t is kKJs8ibfe to value the go)ds or services, such as
volunteer t1￿￿, the accounts do not irKlude this value.
1.$ Investment inc(wrE 1$ accounted for in the year in which th& Charity B anbU8d to re￿Ipt.
1.6 Expenditure 15 ￿counted for on an ￿cruaL￿ bask8.
1.7 un￿$tr￿ed Funds donat￿nS and othef 1￿ming re50urces received or generated for the objects
of the Charity without fijrther speCif￿d puwposes and are availab￿ as General Funds.
1.8 Restricted Funds are to be used for purr*)ses as18KI by the th)nor. ExperKliture which
meets these criteria is idenlified to the Fund.
1.9 As a Registered Charty, no liabilty lo taxat*)n arises.
1.10 Foreign currency- mnetary assels and liabifib.es denominated in f￿eIgn currencies are translated into
sterfing at the rates of exchange prevailing at ￿ ￿ount.ng dale. Transactions in foreign currenci8S
a￿ r￿road at the date of ￿ trar￿￿l0ns. All differe￿ are taken to the profrt loss ￿unt.
Incoming Resources from Charitablè Activities
2025
2024
Conference income
Govemment grant
Sponsorshp income
44,235
8,000
8.048
52.281
8,LKJO

Engvgy Evalualion Limlted
Notes to the accounts
for the year ended 30 September 2025
Costs of Charltabl8 A￿1VItIeS
2026
2024
Conference ￿MIn￿￿traIKJn cc6ts
Conferencg organisabon fee
Conference venue co*$
Website costs
Part￿ipation costs
2.038
38.371
19.260
431
1,216
24.736
437
61,316
25,173
Govornance Costs
2025
2024
Independent Examinerf5 fee
Bank charge8
1,638
111
1,572
75
1,749
1,647
Other Recognisèd Gains
2025
2024
Gain on foreign exchange revaluatior
2.111
2.111
Trustees, Remunerntion
None of the Trustees recsved any remun￿al0n rembur8err*nt ofexpenses during the year.
Creditors: (amouftts falling due
within one year)
2026
2024
Accruals and prepaid income
36,470
1,512
,470
1,512

10
Eneryy Evaluation Limited
Notes to the xcounts
forth• year •ndad 30 September 2025
Restricted Funds
Realisgd
At
Incoming Resources Gairtsl
Fund
At
01110124 Resources Expended {Loss851 Transfer5 30109125
Kathleen Gaffney Prrie FurKI 10,791
3.T17
{1.4351
13.359
1Q.791
{1,4351
226
13,359
The Kathk8en Gaffney PrEe Fund represents a fund wh￿h used to enLy)u￿e young evaluators
Anatysis of Not Assots bolweon Funds
2025
Totsl
Funds
2024
Total
Funds
Restricted UnrestriGtod
Funds
Funds
Cash al bank and in hand
Creditor8
13.359
52,459
136.4701
65,818
136.470}
41,242
11,5121
Net &8sets
13.359
15,989
29.348
39,730
10 Control
The Charity was under the control of th8 Directors and Trustees throughoth the current and previous
year.
11
Authorfsatlon of Flnanclal Statements
The financial statements were aulhcKised lor issu8 by the Dir￿tc{S and Trustees on 19 Junè 2026.