YMCA
HALIFAXAND DISTRICT
YOUNG MEN'S CHRISTIAN
ASSOCIATION
FINANCIAL STATEMENTS
31 MARCH 2025
Charity registration number: 1163210
Cotnpany reglstration number: 09490466
Streets.

HALIFAX AND DISTRICT YOUNG MEN'S CHIUSTIAN
ASSOCIATION
COiklPANY L]MITED B Y GiIARANTEE
FINANCIAL STATEMENTS
YEAR ENDED 31 LWCH 2025
PAG
Trtstees, amual repokt (incorpotating the.directorfs r.¢port)
Independent examiner's reportto the trMsie¢s
Statemertt of financTal activities (including ineome andexp¢ndrture aeMuhl)
Slolement of financiaE position
Note5 to the fEnancial.sldtement5

HALIFAX AND DISTRICT YOUNG METrI'S CHRISTIAN
ASSOCIATION
COI4IPANY LIIVIYT£D B Y GUARANTEE
TRUSTKESI ANNUAL REPORT (INCORPORATING THE DIRECTOR'S REPORT)
YEAR LNDEP 31 IWtARCH 2025
Th? Iruslees, wlio are 3150 Ihe directors for the purposes ofcojmpany law> present their report a￿d the.
ujiaudited financial 5¢alements ofthecharity for th¢"year ended.31 March 2D25.
RIFKRKNCB AND ADIVJINISTRATIVB IJETAILS
Rtgistered cli4rity n8m¢
HaIifax and District Young brfM's Cknri5tian A550cialion
1163210
Chori¢y ￿l$l￿all￿n number
Cofflpany reglstrAtlon llumber 09490466
PrAnclpul ofjce registerEd The Marlborough Hail
office
13 Cr0551ey Street
Ilaliffax
HXI IUG
The trustees
R Buss¢y (Chair)
T BeJdrien
A kloe
P Boothroyd
P Jack50n
Custodial Trustee
The Association is an independent mèmber of IhE YMCA movement in England and is affiliated lo the
NatiDnal Counci] of YMCA'$.
IttdepeDd¢nt examloer
MrsEASknrt
Equitable'Hous#
5S Fellon Lane
Halifax
West YorksI￿re
HXI SSP

H￿L￿FAx AND DISTRICT YOUNG MENIS CHRISTIAN
ASSOCIATION
COMPANY LIMITED BY GUARANTEE
TRUSTEI Ei S, ANNUAL REPORT (INCORFORATING THE DIREI cfoR'S Rfi PORT)
YEè¥R ENDED 31 IVIARCH 2025
STRucfuRf, COVERNANCE AND MANAGEMEINT
GoveTRing docunient
The Drga#isation is a charitsble company limited by guarantee, incorporated on l4 MJrGh 2015 and
Fegislered as a charity on 19 August 2015 (No 1163210). ThE Company was established under a
Memorandum of Association which established the objecLs and powets ofthe chatitable Comparty and
15 goyèmèd under th¢ A'rticles of A550ciation. Jn the event of the company being wound up illEmbers
are reqUI￿d to eontribute an amount not ex¢eedin8 £1.
OrgaDisatioMal strllclmre
Iralifax and District YMCA is organis¢d so that tho trustees meet six to nine times 8 year anl ar¢
ponsiblefor'poli¢y d¢fjisIor￿.
Mgrtagement committee
The overAII respoi15ibility for tlalifax aud Di5triGI YMCA rests witli the "Management Committee"
(the board of managelnent). The members of th¢ wmmittee are"tru5tee5 of the charity. This year they
have dealt .with a large nU￿ber of Manage￿ent, Staffing and operationkl mktters. The boxrd met on
two occasions but kept in ¢onta¢t digitally. Rgcruikn£nt.of trustec5 ig by p¢rnonal contacts of existiDg
ThIstees and rnemIJers. t cEJulact digitslly.
Trustt&Induction and Tr.aining
Induction of Tn￿tee5 is largely through iDfomial di%us5iOll With new recruits: T￿￿teeS are supplied
with an agre¢d poli¢y definin8 the trustees, rolu at¥1 responsibiliti¢5 IDgether with & copy of the
GonltituliorL
Rlsk Maaagement
Tht board of m&nagem¢nt is"aw8te and has &s$essed the risks to which the As5wiati<in i&¢xposed and
taken reasonable steps lo ensur¢ the A550cialion's safety. Wiiere appropriate. syst¢￿$ or
PTocedures have been ¢stablished to mitigate the risks th¢ chgrity fa¢¢s. lftt¢rnal Gontrol risks are
minimised by the imple￿ent￿li0￿ Df procedures for aiithorisalion of all Iiv115actiD115 projects.
p￿edureS are in place to e￿Ure eotnpliance with lieallh and.s&fety of staff. volun(¢¢rs. ¢li¢nts and
visitors and systern5 are in plate to ensure ihat DBS chetks havo been £arTied Dut any pe￿0￿5
wiirking wlthchildren.

HALIFAX AEID DISTRicf YOUNG MEN'S CHRISTIA
ASSOCIATION
COMPANY LIMITED BY GUARANTEE
TRUSTEI ES, ANfiuAL REPORT (INCORPOBATING THK DIREcfoR'S REPORT)
YEAR LI NDEI D 31 MARCH 2025
ORIECTIVES AND A￿1vITIEs
Objectives and
HaliFdX 4nd District Young Mcn'8 A550ciations central aims are. io enable peopl¢. p&rticularly the
youn89 to dcvclop 0$ full paTticipants in 5Dci¢ty. by their involvement tn releyhnt setviees Jnd
progydinmes. and to enable thern ¢0 grow in mind and spirit and lo enjoy frie￿IShip. help and support
particul¥rly in times ofneed.
Accor<fiDgly we stand for-"
aworldwide feilowship bssed on tho equal v&ue of peTsoris
respect and.freedom forall, tolerance and unde￿tanding between people of differeDt opinions
atttive cDiKern for the needs of the comrnuijity
united effortby Chri5Lians of different traditions.
W¢ aim to:_
provide a w¢lcome to merrLbers for themselv&s, in a rn¢eling place ihat rs theirs to share,
vih¢re fri¢nd5bip canbe made and coungel sought.
develop a¢t[vil￿$ which ￿]MUlate and chttllenge our members in an environmentthat enables
them to tske tc3ponsibility.and find a.sense of achiovenenl.
involve all members in care and work for othErs,
reair opportunities tor eXch￿ging views. 50 that rneMbe￿ can improve their understanding
of the World. Ofthemsely￿ and of one artother.
srRATEGTC RKPORT
The following sections for a¢hitvements and perfi>rmanc¢ financial review forni the strategic
report of the eharity.

HALIFAX AND DISTRICT YOUNG MEN'S CHIUSTIAN
ASSOCJA.TION
coiktPANY LnillTEI D BY GUARAF4TEE
TRUSTEI ES, ANNUAL REPORT (LYCOJiPORATING THE DIREcfoR'S REPORT)
ytl AR J4NDED 31 MARCH 2025
ACHIICVEMENTS AND PERFORMANC
The main day(ime activity ig the School uniforni txchange scheme whicIi has b¥coiT]e a great help to
families with"sthoDI age childr¢n. We are the official rcifenal Ègeiicy for Caldwdale Local Authority
for families 5e¢knng help with the provision of sGhool unifomis. The efforts of the staff were
rewgnised recently iyhen" the. Prime Minister meutioned thetn iii his speech at tbe Laboiir Porty
Conf¢r¢n¢e. The main source of income b¢en rollerskate parties buL fh¥ statthave also developed
new sources of rentsl iDCOlPle on the back of the r¢￿rb]shrneTrt of thebuildin
Public Bcncfit Statement
Our main activities ond those wlio wo help are des¢ribed elsgwhere in this report. All our charitable
activities are undertaken to further our ¢haritable purposes and aijns for the public benefit. The Board
of manaong trustees have had regatd to thE Charity Commission's guidance on public benefit for the
year when de¢iding on th¢ aotivities of th¢ Gharity.
FINAf4ciAL REVIEW
Tr#usacSÉons Finallclal Posltlo
The operating 5urplu5 for tke year was £18,555 to cary forward ID the followtng year. (2024
£.T8298).
The chartty has unpaid volunteersto help run its vario.vs 8ctiviti¢s.
Reserves policy
It is the policy of the charity to inaintain unrestricted fvndg not ¢ommitted or invested in tangible fjxed
assets at & level which eq￿t￿.tO yt l¢a5t t1￿¢¢ month5 Lirireslricted expenditUTe, This woutd provid¢
sufrfieient fuTMls to cover mallagement admtnistration and support cosLg to ¢nabl¢ th¢ charity to
continu¢ its Current activitieb in the ¢veDt of.a significant decline in fundih& TtJre*mohth expendilure
nmounts to approximately £34.3819]td the tutaL unrestricted funds are £104,789, The trustees ar¢ to
¢(Intit)iie acGumulating funds to build up rese￿eS and to contintte 40 mÈke improvements to the
property And,Ihe facilili¢s provided.
Prinei031 funding sour¢es
The principal sources of incolne were from roll¢r skating ￿tivElieS 71P/th Gov¢mment ￿ts. IV/.
donations and Le8aeies 60/0. Rents and.letting to other c1)J[￿L￿1¢Y and youth servi¢0 organisations 2Yo"
income other programnr2.activitie% 18%? sthop incom¢ 3°
PLANS FORFU.TURE PERIODS
The mairt prioTity for the Trustees is to develop the A5S0¢iation's prowmes 8NI' a¢livities,
continue with the major reThrbi5hmenl of the premiyes.

HALIF.AX AND DISTRICT YOUNG MEN'S CHRISTIAN
ASSOCLATIOfl
COMPANY LIMITED BY GUARANTEE
TRUSTEESI ANNUAL REPORT (INCORPORATING THE DIRECTOR'S REPORTJ
YEAR Ei ryi DED 31 MARCH 2025
Tbe lii¢siees' annual repo.rt and the str£tegi¢ rq)ort WQT¢ approved on 19 December2025 and sigry¢d on
behalf ofthe boatd of t￿￿tee5 by:
R BUSSEY
P BOOTHROYD
Treaslj'rer

HALIFAX AND DJSTIUCT YOUNG IVIEN'S CHRISTIAN
ASSOCIATION
COMPAfiY LIMITLD BY GUA114NTEII
li
INDEPE￿,DENT EXAMtNER'S REI PORT TO THE TRUSTEES Otr HALIFAX AND
DIsTlU￿ YOUNG MEN'S tElliISTIAN ASSOCIATIONi¢wrfiNiorf)
YEI AR EI NDED 31 MARCH 2025
I report to tlie trustees on my examination of the fiwnrial stsleTuents of Halifax atKI District Young
Men's Christian Assotiation Cthe oharity,) foi the year ¢n(kd 31 March 2025.
RESPONSIBILITIES AND BASIS OF RKPORT
As thE truS¢¢e5 Df the company (and also ils directors lo[ tlie purpo￿5 of company law) you arè
T&SPDEJsiblo for the preparatioh of the fittarteial gt8t¢iii¢nts ih accord&nce wilh the cequirem¢nL4 of.the
CompaniesAct2(X]6 ('th¢ 2006 Art.).
Haying 52t1sf￿d myself that the accounts of the company are not required to be a[￿lled imder Part 16
of the 2006.A¢t and are eligible for ind¢pend¢nt ¢xamination. l Teportin respect of my examination of
the charity'3 accoyTIt5 carried out under section 145" of the Charitles Act 2011 ('.tbe 2011 Act.). In
arrying out Tny examination I have followed the DiTections given by, th¢ Charity Commi&8ion und¢Y
sectiOEE 145(5)(b) of tsie 2011 ACL
INDEPEJ*lDINT EK4MIP4ER'S STATEMENT
I have complered my exa]iiin&tion, I confitJTh tbat no rnatters have come to my attention in connection
with th¢ examination giYin8 me ¢kuse lo believe:
accounting records were not kept ill respE¢t of the charity as required by section 386 ofthe
the fulln¢ia] 5tatementsdo not aword wilh thgse records: or
the finanoial statsments do not cDmply with the acc4)untiog t¢quir¢m¢nts of 5¢rtioll 396 tTrf
the 2006 Act other tEwi any rcquir¢meDt that the accounts give a 'true and fairfview whtch
is not J matter constdeted L4 part of an independent examination. or
the financial statements have not been prepared in accordance with th¢ Meti￿dS and
principles of the Statèm¥nt of Recurnmended Practtce for accounting and reporting by
charities Bpplicabl¢ lo charitie5 preparing their ac¢ounts in accordance with the Fittaneial
Reporting Stand2rd 8ppli¢able in the UK &nd Republic of Ireland (FRS 102)-
I have. concerns and have come across 'no other matters in connection with the èxamination to
which attenlion should be drawn in thi5 report in order to ¢nable a prop¢r understanding pr th
accounts to be reached.
MRS E A SHORT FCA
IftdeP￿d¢nt Exa￿l￿er
Fquitabl¢ House
55 Pellon Lane
Halifax.
West Yorkshlre
HX15SP

HALIFAX AND DISTRICT YOUNG MEN'S CHRISTIAN
ASSOCIATION
COIIIPANY LILigiTED BY GUARA1￿rE￿.
STA'TEMENT OF FINANCIAL ACTIVITIES
(INCLUDING INCOME AiND EXPENDITURE Accol￿
YEAR.ENDED 31 MARC112025
2025
Unrestricted
fullds Total fullds
2024
Total funds
Note
Income endowments
Donations and legwies
Charitable activities
other tradtng acllvlties
Totsl inrome
9,787
138.063
8,230
156,080
9,787
138.063
8230
8,967
148,942
12.359
156,080
170.268
Expenditvre
Bxpenditure on charirablè actsviti¢b
Total expenditure
&9
137,525
137.525
137,525
137,523
150,970
150,970
Net ftncome ond net movement in funds
18,555
18,555
19298
Reeon¢iliation of fund8
Tolal funds brought forward
Total fund3 carried forward
86.894
105,449
86￿94
105.449
67.596
86,894
The statemeni of fiDaneia] a¢tiYities include5 all guins and 105se8 r¢¢ognised in theyear.
All iiicome and ¢Apenditure derive from Continuing a¢tiviti¢s.
The notes on pagEs 9 to 16 fDrrJi purt of th￿¢ fJnanciHI statements.

HALIFAX IlND DISTRICT YOUNG MEN'S CHRISTIAN
ASSOCIATIO
COMPANY LIllllT£I D BY CUARADITEE
STATEMENT OF FINANCIAL POSITION
31 M&RCH 2025
2025
2&24
P4ote
CURMENf ASSETS
D¢btors
Cash at bBnk 8nd ill hand
14
769
128,870
129ffj39
453
114.511
114.964
CREDITORS: amoll￿ts falling 41￿¢
wilhln one year
NET CiIRRENf ASSETS
15
24,190
28.070
105,449
SA894
TOTAL ASSETS LESS CURRENT
LIABILITIES
105,449
105,449
86.894
NET ASSETS
FUNDS OF CHARrrY
Unrestricted funds
105,449
105,449
86,894
86,894
Tothl charlty fuAd5
J7
For the year ending 31 March.2025 the charity was entitled.to exemplioft frorn aLttlit uftder section 477
ofthe Companies Act 2006 T¥latingtO small companies.
Dir¢.otors' ttsponsibiliti¢s:
The mernbers have not requiied the roiupatry to obtain an audit of its financial statements for the
year in qucstion in wordance with Section 476.
The directors aGknOwledgeShelr responsibilities for complying with th¢ r¢quireEn¢nls of the A¢t
with respect to a¢￿U￿ting reoords and the prepofdtion o.f finllnci￿ statemenis.
The$¢ financial staternents have been prepared in aceordan¢e with the provisions applicable to
panies subject lo the small comEydniei regime.
These financial statements w¢re approved by board of fr￿￿tee5 and authorised for issue on 19
Deoernbèr 2025, and aresigned on behalf of the board by:
R BUSSEY
Chair
P BOOTHROYD
e Dotes on pages 9 to 16 form part orthese IIDonelal.slat¢ments.

HALIFAX AIYD DISTRICT YOUNG MEI N'S CHRISTIAN
ASSOCIATION
COMPANY LIMITED BY GUARA14TEE
NOTES TO THE FINANCIAL STATEMENTS
YEAR [NDfi D 31 MARCH 2025
GENERAL INFORMATIOiy
The charity is a public benefit entsty ￿ld a private company limited by guarantee. reglstered in
EnglNnd and Wal&s and a registere41 ¢harity ?n England and Wales. The addr￿ of the registered
office is The Marlborov8hHall. 13 Crossley Street, Halif￿, HXI I UQ.
STATEMEI NTOF COMPLtANCE
These fLnanciai statements havt been prepwed in complian¢e with FRS 102, The Financial
Reportincr Standard applicable in th¢ UK and the Republis of Ireland,. d]e Siatement of
commended Praetioe applicable to Charilios pTrpariDg their accounts in accordance with thè
Pinanci81 Reporting Standard apphcable in the UK and Republic of Ireland (FRS I02) (Charities
SORP (FRS 102)) and thecompanies Act2006.
ACCOUNTING POLICIES
Ba5iS of Preparatio
The financial statements ljave been prep&red on the historiettl Cost b8sis, as Thodified by the
revaluation of certaiu financial assels and liabilities and.investment properties rne￿ured at fair
value throu8h in¢oÈne orexpenditure,
The financial statements are prepared in sterling, which is the functional cwrency of the elltity-
Going concer
la agsessing the appropriateness of ihe application of ihe.going concern basi& the tNsle¢s hus
coniidercd th¢ uncertaintie5 around the geneTtI economic enYironrnenL the current and fvture
trading perfom)8nce of the Charity and th¢ available ¢aslL
The trustees have a reasonable expectation that Éhe ehariry has ad"tqu&te resources to Continue in
operational existence for the foreseeable fytur¢. Accordingly. they continue to adopt the going
on¢em basis tn preparing the anhual report ahd fitmttclal slaternenis,
Judgements key soknrces of e3timallon uncertalllty
The prepa￿110￿ of the fiD&icial ststeinents r¢quir¢s rnan&geni¢nt to make judgements. estimates
2nd ÈSSUTnptlons that affect the pmouTts reported, These estimates and judgements are
Continually reviewed and 4r¢ bas¢d 00 experiEnce and other factors, including expect*ions of
fubjre ev¢nis that are believed to be ￿&Sonable uThder the ¢irrUmstances.
There nDt considered to be any j]ulg¢Tnents or accounting e51iIiiates.or a55￿pIlO￿$ that liave
a significant impaGt on the financial siatemetts.

HALIFAXATrID DISTRIcr YotJNG MEN'S CHIUSTIAN
ASSOCIATIOIY
COMPANY LIMITED B Y GUARAP4TEE
NOTES TO THE FfNANCIAL STATE[1￿￿￿[5
YEARENDED 31 MARCH 21125
ACCOUNTING POLICIES (cTrJrtiiwr¢iJ
Fund ttccounttng
Unrestrioted fund$ are available for use at the discrelion of Ihe.trusl¢es ID further any of lh¢
charity's purpoges.
Designated funds aro uure5tiicted funds earmarked by die t￿Stee$ for particular future proj¢¢t or
ci)mrnitment..
R¢striEteEI funds are subjected to r&strictions on their eKpenditwe decI￿ed by thr donor or
through the ternis of an appeal. and fall.into one tsyo sub-Gla55es". rnstTiCted income fvnds or
endowment funds.
Incomlng resources
All incoming ￿SOurCeS are included in the st8t￿ent of financial aclivities when entitlement i
passed t(1 the charity. it is probable'that th¢.¢¢onomic benefits associated with the transactionwdl
flow to the charity and thc amollnt can be reliably measured Thtr.following spoctfic poltcies are
applied to partic￿ar categories of incom¢'.
incom¢ fro￿ donations QT ￿ants is TecOgn￿ed wheÈi theEe is evideoce of entitlement to the
gift, r¢¢¢ipt is pwbablp and its.amO￿ntCan be measustd relt&bly.
kgacy income 15 recogtus¢d when re￿IpLISprObable and entitlement is established.
income from donated goods Is measur¢d 41 Ih¢ fair value of the goods unless th'is is
impractical to measure reliably, in Ivhich case the value is derived from th¢ Cost to'the
donor or the estiTThated resale yalue. Donated facftlilies and Servi￿ arr T¥Gugnis¥d in lh¢
accounts wheT] received if Ihe vaIue can be reliably measured. No aTnounts included for
the£ontriblltion ¢Fgeneral volLttf¢¢fS.
incDme'frorn Contr￿ for th¢ supply of seryices ts re¢ogni5ed with the delivery of the
c()ntra¢led service. This is classified 25 unr£5tricted funib unless there is a ¢ontrdctuai
Tequirement for it ta be 5pEnt on a parttcularpurpose and retluned if unspent, in which case
it may ￿ regarded a5 Testricle(L
io

IIALIFAX AND DISTRICT YOUNG MENIS CHRISTIAN
ASSOCIATIOTrt
COMPANY LIMrrED MY GUARANTEF
rqoTES TO THEI FINANCIAL STATE￿Tr￿S
YEAR ENDED 31 MARCH 2025
ACCOUNTING POLICIES I￿A￿￿￿è￿)
Re8ourc¢8 ¢xpetEded
Expenditure is re¢OpJ￿Sed on an aceruals bL8is as a liabilityis incurred. Bxwdilure iucludes aTky
VAT whieh cmnnot'be fully recovered, and is classified under headlngs t)f the sltsteittent of
rowi¢ial a¢iivilieslo ii'hich it relates:
expendirure on raising funds inrludes the costs of all fundratsing ad'iyities, even
non-charitabletradsng activitie5, and the salt of donated good5.
¢xpenditurg on charitable &ctiYities inBlud¢5 all costs iTh¢￿ed by.a charity in undertaking
activitle5 that furt1￿ its eharilable aims for the benefit of its beneficiarie8 including those
support costs and Kosts ￿1#11￿8 lo the governaiice of the charity apporti(In¢d to charilabl¢
a¢tivities.
other ex￿nditurE I￿l￿deS all. eXpe]￿lture that is neiiher related lo raising funds for the
charity nor part of its expehditure on charitable activliies.
All ¢osts are a]located to expenditure categorieg retlecting the use of the resource. Direct costs.
attrtbuÉable to a singl¢ %tciivity arg allocated directly to that activity. ShAred ¢O*s are apportioned
between the actxvities tbey CQDlribute to a r￿￿onable) justifiable and consistent b8SiS.
Financial instru￿¢￿ts
The Company only has fu￿n￿l31 assets and finpncial liabilities of a kind tliaÈ q.ualify as b&%Jc
Iinanc3a] it￿r￿Ments. B￿le finallcial ill5tnJrnents aTeiniÈially recognised at tramaction valiie 8nd
5ub5oquenily measured at their $ettl¢n)¢nt vnlue with the exception of bank loaus which 8re
'siibsequently inea5ured Lt aEilOrtis¢d cost using the effective Int¢r¢stm¢thod,
Defined ¢ontrlbuÉioH plaDS
Contributions lo defined contribution plans are reeo8nised as an expense in the period in wliich
th? related Servi￿ 15 provided. PrepAid contribt]Eions are recogDis¢d as an asset to the ¢¥t¢llt that
the prepayment will le&d to & reduction in future payments or ac05h refund.
When ¢ontrEbutlo￿ not eJpe¢tsd to k settled wholly within 12 months of ihe end of the
reporting date in wbich the employee3 render the related servjce. the liability is Measur￿ on a
discountcd prcsent valuts basis. The Unwi[￿ing of the discount is recognised ￿ an expense in the
period in ivhich it 8ris&s.
LtMITED BY GUARANTEE
Th¢ Charity is a company limited by guararrtee. Each metnber und¢rtak¢5 to ¢ontribuk such an
amourtl (not exceedirt8 £1) a5 rnay bè required in the event of winding up.

HALIFAXAND DISTRICT YOUNG I￿￿NIs CHIUSTIAN
ASSOCIATION
COMPANY LIMrrED BY GUARAN￿* E
TrIOTEI S TO.THE FINANCJAL sfATIIVJE.IYTS rthrthiiuè
YEAR EThIDLI D 31 MARCH 2025
DQNATIQNS AND LEGACIES
Unrestri¢te6 Total Funds Unrestricted Total Funds
.Funds
21n5
Funds
2024
DONATiONS
Donalions
9,787
9,787
8,967
8.967
CHARITABLE ACTIVITIES
Unr¢slrickd Total Funds Unrestri¢ted Totat Funds
.Funds
21J25
Funds
2024
Panlomitne society.
Coffee b3c
Roller Skating
1 S.Q74
13,661
109,328
138,063
1S074
13.661
109,328
138,063
13,871
16,393
118,678
148,942
16,393
118,678
148,942
OTHER TRADING ACTIVITIES
Unrestri¢ted Total Funds Unrestricted Total Furlds
"Funds
2025
Fund5"
2024
Shop income
Lettings
4.797
4,797
3,433
5J29
7.030
5.329
7,030
12,3S9
8230
8230
12J59
EXPENDITURE ON CHARITABLE AcfiviTIES BY FUND TYPE
UDrestricted Total Fund$ Unrestri¢t¢d Tota] FutMIs
Funds
2025
Fonds
2024
PantQTnirne S(Kiety
Caleringcoffte Bar
Roller Skatillg
Support cosls
10,658
6J55
73,935
46.577
l37,525
10,65
6J55
16.786
16,786
8.868
72,311
53,005
150.970
46,577
137525
150,970
12

HALIFAX AND DJSTRICT YOUNC MEN'S CHRISTIAN
ASSOCIATKON
tOMPAfry LIMrrEI D BY GUARATrITEE
NOTES TO THE FINANCIAL STATEMENfs (fV•fliil￿
YEAR ENDED 31 IIIARCH 2025
.EXPENDITURE ON CHARrrABLE AcfiviTIES BY ACTIVITY TYPE
.Aclivtties
undcrtakcn
dire¢tly Support ciists
T￿￿1 fiinds
2025
Total fund
2024
Support costs
"P￿tOM[Me So¢iety
Catering Coffee Bar
Roll¢r Skatikng
Govem&ftce costs
40,652
40,652
10,658
6J55
73J35
5,925
45,992
16.786
8.868
72,3ll
7.013
150,970
10.658
6J55
90,948
46.577
137525
10. ANALYSIS OF SUPPORT COSTS
2025
2Q24
Pre[Di￿5
CommunicatlQT]5 and IT
General offire
Gtsvetnan¢¢ ¢0sts
Rat￿ and water
Repai55 and maintenance
Iu5urJnce
10.813
744
2267
5925
1,295
7?46
10,280
2219
7,014
14,732
F 11
80D4
980
88
3,134
&ODO
.121
1,708
Cleaning
Travel costs
lTrecoverable vat
Rent
Tralning
sundry expe]￿eS
5.ODO
130
619
46,577
53,005
11. INDEPENDENT KXAMINATION FEES
2025
4024
Ftes payable to the inctependent exajninerfor:
IAdependent e¥amination oftke financiaI st&tetnen15
4753
13

ALIFAX AND DISTRICT YOUNG MEN'S. CHIUSTIAN
ASSOCIATION
COMPANY LIMITEDBY GUARANT£1 E
NOTES TO THE FINANCIAL STATEMEI Nfs (¢fftilbiiitdJ
YEAR EDIDED 31 IrfIARCH 1025
12. STAFF COSTS
Tlie totsl staffcusls and employee ben¢fits for the ￿Porting period ar¢ analysed &$ follows:.
2025
2024
alld salaries
Employer contribiiiions to penslon plans
67,716
I,lJ20
68,736
66,379
972
67,351
The 8v¢r4ge head count.of employett durirts the year was 7 (2024.. 7). The average Muinber of
full-¢upE ¢quiv8lent employees dtwing the year is 7malysed as follows..
2025
2024
AdTllilli51rativè
N(ainÈellance
Sports staff
No employee rèc¢ived efftployee benefits of more Ihan £60.000 durin8 the yèat {2024: Nil).
J3. TRUSTEE REMUNERATIONAND EXPENSLS
No k"emuneratlDn or bther ben¢fits from ernployment with the charity or a rtlated entity were
received by th¢ trLLStees.
No trustee ¢xpense5 have'been incurred.
14. DEBTORS
2025
2024
Pr¢payments and arcNed in¢om¢
Othar debtors
414
355
404
.49
769
453
14

HALIFAX AND DISTRICT YOUNG MENIS CHIUSTIAN
ASSOCIATION
COMPANY LIMrrED BY GUAEL4NTEK
]YOTES TO THE FINANCIAL STATEMKNTSccwJfy,,,
YEAR ENDEI D 31 MARCH 2025
15. CREDITORS: amounts falling due.withill one year
2025
21124
AccTual8 altd deferred iricorne
SoriaI security and Dther t￿eS
Halifax & District YMCA (Charity only)
Oll￿r creditoT*
8?34
1,179
14,071
568
18,233
2,074
28,070
24.190
16. PENSIONS AND OTHERPOST RETIREMENT BKNEFITS
Defined eotttribytion plans
The knount ￿CosniSed in income or eypendittl￿ os an expense in rel￿1{)￿ to defined
ontribution plans was £l:02012024: £972).
17. ANALYSIS OF CHARrrABLE FUNDS
Unrestricted fvDds
l April 2024
Income Expendithro 3l Mar 2025
.GeDeral funds
86,894
156,080
(137,ll5)
10S,449
l April 2023
Intome E¥pendI￿re 31 2024
Getheral fiind5
67596
170,268
(150.970)
86.894
15

HALIFAXAND DISTiucf YOUNG MEIY'S CHRISTIAN
ASSOCIATION
COIIIPANY LllW'lbD BY GUARANTEE
NOTES TO THE FifiANCIAL STATEMEI NTS (conilnNe4
YEAR ENDED 31 IVLARCH 202S
IS. ANALYSIS OF NET ASSETS BETWEEN FUNDS
uJ￿estriCted Total Ftinds
Funds
2P2S
Currènt assEts
Cretjitors les5 tharL l year
NÈt1￿ets
129,639
(24,190)
105,449
129,639
(24,190}
IOS449
Unre5trict¢d Total Funds
Funds
2024.
c￿￿eryt &S5e15
Creditors le55 l y
Net Rsyts
114.964
(28,070)
86.894
i l4,964
(28,070)
8A894
19. RELATED PARTJES
Halifax and District Young Metj's C.hnltian Association is an unincorporated ¢lwity inwhich thc
trust¢es ofthis.¢hanlable organi5at-Kin are also trustees.
Included ￿￿thin other cTeditor% a ba]arK? of £14,071 (2024 - £18,233 debtor) dtse to Halifax and
District Young Men% CIwi5tian A￿(￿lation.
16