## **REACHING OUR COMMUNITY** 

# **LEIGH BUILDING PRESERVATION TRUST** 



## **LEIGH SPINNERS MILL, LEIGH, LANCASHIRE** 

**A PLACE FOR OUR COMMUNITY ANNUAL REPORT 2022/23** 



## **FOREWARD** 

This is our eighth annual report and covers the year from August 2022 to June 2023. Our income in 2021/22 was £223,548.  Having been able to open more units our income in 2022/23 was £423,813 

After undertaking extensive capital investments to improve fire safety, the Trust has opened floors 2, 3 and 4.  Works are taking place on Floor 5 to create an Event space and additional rentable units.  These works are planned to complete and units let by November 2023. 

The additional revenue from floor 5, along with increased rental values from floors 2, 3 and 4, support our business plan. 

Despite numerous issues that arose during the year, the Trust has survived with continued strong support from tenants, volunteers and other stakeholders and we look forward to cementing and expanding our place in the local community. 

Jane Shaw 

Director/Company Secretary 

2 



## **OUR BOARD** 

|**OUR BOARD**|||
|---|---|---|
|**Name**|**Role**|**Appointed**|
|John Morrison|Director|26.09.2015|
|Keith Cunliffe|Director|26.09.2015|
|Peter Horrocks|Director|26.09.2015|
|Paul Costello|Director|08.10.2019|
|Jane Shaw|Director|08.06.2020|
|Farai Nhakaniso|Director|08.06.2020|
|Thomas Dalton|Director|07.08.2020|
|LesleyEdwards|Director|12.11.2020|
|Steven Grundy|Director|16.05.2023|
|Alan Prescott|Director|16.05.2023|



## **Who We Are** 

Leigh Building Preservation Trust is a registered charity (number 1164641) established in 2014.  We are a Company limited by guarantee number 9796346.  We have Ten Trustees and currently have 64 registered volunteers some 30 of whom are regular attendees at the mill. 

The Trust was established to secure the restoration of the Grade II* Listed Leigh Spinners Mill, the largest building in Leigh with an initial emphasis on restoring our steam engine to operation.  Since achieving this, the Trust has put a considerable amount of effort into providing space for local enterprises and the delivery of services to our local community. 

## **Building Description** 

The Leigh Spinners Mill comprises two main mill buildings built respectively in 1913/15 and 1923/25.  The building has been extended several times to meet modern production needs and there are substantial modern extensions to the eastern, western and northern sides. These are modern portal framed structures now used for production and warehousing.  The buildings sit in a large site of 8 acres. 

This Annual Report relates to progress on Mill 2 of the complex.  The Leigh Building Preservation Trust has taken a 99 year lease on this building subletting two floors (ground and first) back to Leigh Spinners Ltd.  On these floors the Trust has retained the main reception area, and a first floor area of some 500 square meters, which has been converted into the main heritage area featuring our original very large steam engine. 

The building has been converted to provide a range of smaller units and these have proved popular. The entrance and access from the main staircase have remained as left by Leigh Spinners but the stepped entrance has been improved by the provision of a ramp in place of the steps. 

The provision of a new bale store, for the Company, has had the added advantage of improved lighting to the car park, overcoming concerns for some visitors.  Additionally, a 

3 



new, safer, pedestrian route has been clearly marked and signposted towards the mill entrance. 

A major achievement during the year was to continue to secure funding from a number of funders to continue the development of our spaces, and the process of delivering services to our town which is an area of industrial decline with little local employment and relatively few services. 

## **Community Project** 

The main emphasis during the year was to develop the management function to improve the management of existing tenants and our heritage and meeting facilities, working with them to promote the use of the building’s facilities and services for the benefit of the local community.  Volunteers have worked with the manager carrying out some administrative functions, enabling her to manage ongoing building works, assist tenants and promote the project. 

Specifically, during the year, we undertook: 

1. Working with tenants, other groups, and agencies to provide services to disenfranchised and hard to reach groups such as young people, ethnic minorities, the elderly and special needs groups. 

2. Promoting our meeting facilities to local residents – we have four theatre/ performance/community spaces which are in frequent use.  Examples of this include working with local and national groups putting on static displays and immersive theatre experiences.  These have included: 

   - Association of Guilds of Weavers, Spinners, and Dyers 2-week exhibition. 

   - Open Eye Gallery, photography 2-month exhibition. 

   - Healthy Arts, Paper Birds Jubilee 6 weeks exhibition. 

   - Golborne High School, Coronation 1-week exhibition. 

   - Pride in Leigh, celebrating what Pride means to you, 1 weekend exhibition. 

3. Developing community events using our spaces both inside and outside including a covered events area. The local group, the Lowton Operatic and Dramatic Society, provided an immersive experience, Murder at the Mummy Party, over four nights in May/June 2023 which all sold out, was held in the Mill. 

4. Working with groups and new social and commercial enterprises to enable them to develop to the point where they can take space within the building ensuring their sustainability but also enhancing the sustainability of the Trust and the project by generating additional income from rents. 

4 



5. Improving access to local skills, training and employability, working with various training providers, allowing live work within the mill, while trainees gain important qualifications and a designated pathway into employment. 

6. Improving access to digital offering high quality 1Gb internet access to allow our in house businesses to flourish. 

7. Improving access and signage to enable users to move around what is a very large building easily, including enhancing disabled access, installing a hearing induction loop and additional disabled toilets. 

8. Another area of use is for special groups seeking to access our sports and arts provision.  In addition, we now have tenants who provide mental and physical health therapies. 

## **Project Outputs** 

We anticipate the following outputs during the next 12 months 

1. Space improved 21,420 square feet (fifth floor) 2. Existing groups supported 65 (businesses and organisations) 3. New groups established. 5 4. Beneficiaries 30,000 over 2 years 5. New facilities provided 5 6. New volunteers 10 

7. Events 7 planned by LBPT plus those arranged by tenants. 

## **Outcomes and impacts** 

The following outcomes and impacts are anticipated over the next two years based on the thought process above. 

1. Improved health as more people are encouraged to engage in healthy activities and fitness. 

2. Improved Well Being through increased opportunities for people to engage in cultural and heritage activities locally through visiting, using our facilities and volunteering. 

3. Improved Economic Performance through provision of greater infrastructure to encourage and host startup businesses and social enterprises which further promotes community wealth building, with businesses in the mill helping each other. 

4. Attraction of inward investment for heritage and ongoing tourism 

5. Improved Community Pride within the area resulting from the improvement and promotion of the building and the increased range of community facilities available. 

5 



6. More engaged pupils within schools from enhanced educational experiences leading to increase ambition and attainment. 

7. Continued growth of the training and skills agenda, working closely with training providers to ensure that the local economy is fully supported. 

## **Progress** 

1. We are 50% complete in developing floor 5, including work to install a new lift. The new lift is scheduled to be in place by November 2023.  This will allow the full opening of the fifth floor bringing additional benefits to the project.  All spaces (23) for floor 5 have now been allocated to a range of businesses and organisations, with the majority bringing social value to the mill and the wider community. 

2. The waiting list for space continues to grow, with a current waiting list of 35. 

3. Tenants are now up and running with Leigh Veterans Hub CIC, providing much needed support and advice for the armed forces network in the area. 

4. We now have a business network group within the mill, which continues to grow, with tenants working together to promote and support each other, whilst also having a voice on the wider business network scene. 

5. We continue to support Pride in Leigh, an LGBT+ group that works to promote inclusion for the LGBT+ community. 

6. Our school’s programme has continued with 12 visits between September 2022 and May 2023. 

7. We currently work with a training provider that works with disaffected young people, allowing live works within the mill whilst they gain crucial qualifications. 

8. We continue to support a national group of medics taking medical equipment into Ukraine. 

## **Evaluation** 

The role of General Manager includes responsibility for a continuous monitoring programme recording all outputs.  A full assessment of outcomes will be undertaken towards the end of the project as part of the impact assessment of the wider mill project.  Any external budget requirements for this will be met by the Trust as it will be reporting to several funders. 

## **Specific achievements in the year, highlights** 

## **Community Achievements 2022/2023** 

## **Summary** 

Retained 60 tenants Secured 25 new tenants Filled all spaces created Have a waiting list of tenants for additional space to be developed – now 35 Three staff retained 

6 



30 regular volunteers – Tuesday and Saturday Heritage teams, Gardening Crew, Education Team plus activity on other days as required 

6 Education volunteers secured DBS checks 

Increased numbers of visitors – leaving comments such as 

“Interesting, nostalgic and informative.  Volunteers very helpful and friendly.  Looking forward to returning again in the future” and 

“Absolutely fascinating – a great building with a great history and a great guided tour.” 

## **Activities** 

Storage provided for hygiene and medical supplies for Ukraine. 

12 school visits, 360 children attended. 

Visits by brownies and other groups, such as Haydock Women’s Club who enjoyed a tour of the Heritage Centre and had lunch in the Millage Canteen.  Also visited by the Friends of Salford Museum. 

The community room is used by: two scout/ cubs groups, Spanish lessons for primary aged children and a fitness class for older people. 

Work with a number of providers for holiday and activity and food, including Leigh Youth Hub. 

## **Events** 

Leigh Pride 2022 around 400 visitors. 

Heritage Open Days – the Heritage Centre has now increased to two regular opening days each week, Tuesdays and Saturdays.  Since January this year we have had around 500 visitors to our Heritage Centre and Engine House, not counting school and organised group visits. 

Beer Sales Events held at the Mill also brought in around 250 additional visitors 

## **Conclusions** 

Despite economic pressures the mill has retained its original purpose and has developed new and unanticipated roles in the community.  We see the opportunity to complete Mill Two and have acquired Mill One as a future project. 

There have been minor changes to the structure of the project and some anticipated outputs for example around educational and training qualifications, which is an organic evolution of what works well in the mill and for the wider Leigh area. 

The project is increasingly seen as an exemplar in combining the restoration of a major listed building in a community with low levels of community activity into a hub delivering a wide range of services to our community as well as economic benefits through support for enterprise and tourism. 

There have been unintended benefits as the mill has provided a resource for new initiatives and relocation of others which would have failed and this has been a major learning point. 

7 



REGISTERED COMPANI. NUhlBF.R: 09796346 (F.ngl&nd and lTrales}
REGISTERED CHARITY NUMBER: J161641
REPORT OF THE TRLTSTEES AND
UNAUDITED FINANCI.4L STATE￿IENTs FOR THE YEAR ENDED 30 SEvfEMBER 2022
FOR
LEIGH BUILDANG PRESERN'ATION
TRUST LITrIITED
Hayes & Co
Charte￿1.4CcOu￿ldDts
SU1￿ ? BesM"ick House
Gr.Intold 11-av
Leigh
Lancashite

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
CONTEiwfs OF THE FINAliCIAL STATEi¥fENTS
for the year ellded 30 September 2022
P*gt
Report of the Tru$tee5
Independent Examiner's Report
St&temeNt of Financial Activitie5
Bglgnee Sheet
Note5 to the Financial Staternent5
7 10 13

I.F.IGH BIIII.DING PRF.SF.RI-A TION
TRUST LIMITED IREC:ISTERED NLMBER: 119796346)
REPORT OF THE TRUSTEES
for the )'ear ended 31) September 2022
The lrnslees who are also directors of the £hariry lor the pllrtK)ses of Companies Aet '(NJ6. present their report with the financial
btsttrnents ot the L'huTlty tur thc yLur LndLd 30 SL'Pternbcr 10?1 The tru.%fCes huve ddopted tht provisiDn4 of AcLUUIitin¥ und
Reportinfl by Charities.. Siaterneni of Recornmended Practice applicable to chanries prepanng theiT account5 In accoTdaTrce with the
Financial Reporting Sthndard applicable in the UK and Republic of Ireland {FRS 102) {eff¢ctive l January 20191.
STRUCTURE. GOI'ERIY.4NCE.4P4D MANAGEL41ENT
GoverninE d￿￿ment
The cliaritv is conirolled by its governing documemo a deed of iwsi, and constitutes a limited cornpany. limited by guarantee, as
defined by the Companies Aci 2￿6.
REFERENCE AND ADMIISISTRATIVE DETAILS
Register¢d Companv number
09796346 (Ennland and Wales)
Registered Ch*ritv number
1164641
Registered off)ee
Leigh Spinners Mill
Paik Lant
LtiglL
Gtr ManLhesier
Trust¢¢S
P Aspinall En￿nCer (resigned 27.10.211
P A Costello Retired
K CunlitT¢ Retired
T Daltoii Company DiTtcior
P D HorroL'k% Mana¥in¥ DireLtur
S J Nlcgarrie Project Manauei {resigned 19.8.2?)
J S NIDrrison Managin4 Director
F Nhakaniso Charity Worker
P A Rowlinst)n None Iresigmed 18.8.22)
J Sh<lW Locul GvN'LTntncnt otTILLT
L E Edwards Companv Direcior
A J Pre5colt lappoinied 29.4.23)
S Grundy (appointed 29.4.231
CompMny Secretary
J Sh3w
Independent Examiner
Hxyes &. Co
ch￿tered ALLllUI]lJnts
5uiie 2 Beswick House
G￿enfOld Way
Leigrh
Lancashi
WNJ IXJ
Approved by order of rhe board of tnjsiees on 29 June 2023 aud signed on its belmlf by=
Page I

I.F.IGH BIIII.DING PRF.SF.RI-A TION
TRUST LIMITED IREC:ISTERED NLMBER: 119796346)
REPORT OF THE TRUSTEES
for the )'ear ended 31) September 2022
P A Costello- Trustee
Page 2

INDF.PF.NDF.NT F.XAiIIINF.R'S RF.PORT TO THE TRUSTEES OF
LEIC.H BUILDING PRESERI:A TION
TRUST LIMITED
Independent examiner's report to the trustees of Leigh B￿lIdIng Presen'•¢ion Trust Limited I'the Company,)
l Teport to the charity trustees on my examiDatitsn of the accounts of th¢ Cornpans for the ended 30 September 2022.
Responsibilities and basi5 Df report
the Lhurily'% tni%tets uf tht CotnPELny l￿d alsu ifs. dirL'ctoi4 fur the putPDtse% of LJtnpanv law'l you art responsible fur the
preparation of the accounis in accordance with the requiremtnt5 of the Compavie5 Act 10(b I'the ?006 Acl'}.
Havins >at15fied mvself that the account5 of ihe Conipany are not required to be audited ullder Part 16 of the 2006 Aci and are
eligible for independeni examination. I report in re5￿cl of m5. examillaiion ol sour chatily s atcounis as carried oui under Section
145 of Ihc C-.haritics .4ct 2011 I'the IUI l ACYI. In carrying Out my examitration I havc followcd thc Dircttions given by the Charity
Commission under Seciion 145151 Ibl of the 201 l Act.
Independent examiner 5 5tateTTrent
%ince your charity'% gross inc(Trme exceeded £250,(NK) your ¢xaminer m￿1 be a member of a lisied W. l Can confimi Ihat l am
qualifiL￿ to undcnakc the exami￿tIOn 1￿CauSe l am a mcmbcr of thc A)￿latIOn ofLthartcrcd Ccrtificd Accountajiis, whiLh is onc of
the listed bodies.
hdve completed my examination. I confjrni ihat no matteTh have come to my dttention in Lonnecti(￿ with the examillation ￿lVIng me
cause lo belie*e'.
accou￿ting￿ records were r￿1 kept in res￿1 of ihe Company as wuired by S&iioll 386 of the 2(K>6 Act: or
the accounts do not accord with those recor(&- or
the uccount% do T￿1 comply with the accouniing requiieTnents of Section 396 of the ?IK)6 Act oth¢i than any requirerntnt tliat
The accounis gike a ITue aTrd fail view w.hich is noi a maii¢r ¢oIhsidered as pan of an independeni eXarni￿allO￿. or
the accounts have not been prepared in aciordanct M ith the methods and prinbiplts of iht Siatement ol- ReeDnimended
Practice for accounting and rewning by charities (applicable io chariiies preparino their accouiits in accordance with the
FinanLial Reponing Stantsrd applicable in ihe UK a]bJ Republic of Irelalld IFRS 1021).
I have no concems and have Come a¢ross no other rnatters in ¢onne¢ii¢)n with the examinaiion io which attention should be drawn in
this report Ill Order to ¢nablt a proper undersianding of the accounts to be reached.
lan Burns
H3ye5 & Co
Cliartered Accountants
SuilL ? BL%WjLk Housc
Greenfold Way
Leigh
Lan¢ashire
29 Jun¢ 2023
Page 3

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
STATE￿IENT OF FIY.4%CIAL.4cfiiqTIES
for the )'ear ended 31) September 2022
2n22
rotal
2021
Total
Unrestricied
fund
Restricted
fund
Noles
INC.o￿lE AND ENDOII'MENTS FROi¥I
Di)naiions and l¢¥Tacie&
IOJ41
10.543
18223
Othcr trading aLtivitiCS
Investment income
Other income
Tolal
1.405
76.50)
1.4(Tr5
76.502
33f,363
42i,81.1
13.942
190.163
223
126.051
126053
EXPENDITITriE ON
Raisii)g funds
1!7,260
126,053
253,113
87,830
Other
Total
59216
147 046
188.036
314089
NET INCOME
109.7?4
I1￿,724
76502
RF.C.ONCII.IATION OF FUNDS
Total fund% brou¥hr fotward
1?1.512
<5,327
176.839
I OOJ37
TOTAL FUNDS CARRIED FORWARD
?31 ?36
286 563
176839
The notes lorni part of these fuk￿claI siatements
Page 4

I.F.IGH BIIII.DING PRF.SF.RI-A TION
TRUST LIMITED IREGISTERED NLMBER: 119796346)
BALANCE SHEET
111 Stpiember 2U22
2(122
rotal
2Q21
Total
Unrestricied
fund
Restricted
fund
Noles
FIXED ASSETS
Taiinible ass¢t
10
393,170
1.192.488
1,58£,6511
992.481
CURREiYt ASSETS
Debiors
Cash at bank and in hand
31.61)6
111.190
142.796
34,980
66.586
111,190
49,945
129.644
179J89
34,9R()
CREDITORS
Amounts fallirtg due wiihin one year
(134.7161
1285.975}
1420.6911
(.310501)
NET CURRENT ASSETS
240.9951
24:.9151
130.912
TOTAL ASSETS LESS CuRRE￿T
LIABILITIES
401250
941.493
861569
CREDITORS
Ainuunt8 falliiig due after more one year
117V.0141
(170,U141
1141.U61
ACCRUALS AND DEFERRED INCOME
15
18116,166}
(886,166}
1543,669
NET ASSETS
FI'LYDS
Unresiri¢ied tunds
Restricied fiinds
TOT.AL FUNDS
286 563
176839
16
231.236
£f.j?7
286 ifi3
55.327
176839
The chariiahle tompanv Is eniiil2d io exemption from audit lln(ler Section 477 of the Companies Act 200(1 (or the year ende<l 30
September 20:
The members have noi requir¢d the Compan￿ to obtsin on audii of its financial stsrements for the vear ended 30 September 2022 in
accordance with Section 476 ot the Companies Acr £(K)6.
The Iru5t¢e5 acknowledg¢ their rcspon51bilities tor
ensLiring that the charitable company keeps accounting records that comply Sections 386 and 387 of the C.0￿PanIeS Act
2006
preparing financial staternents which giye a mie and fair view of ihe SLqie of affairs of the charitable company as at the end of
each tinancial year aiid of ils surplus or deficit for cach finatLLial )'e<W in aLroidance ￿'1th the requirements tsf SeLlions 394
diid 395 diid wFiiLli ulli¥rwi5f LU)iiplw ￿1111 Ihr rwuirriiients uf the Cuiiipdlli¢J Ail 21KO r¢I￿li)￿J 10 fiiidfiLldl s1(iI¢III¢YIIs, 5
far as applicable ro the Chariiable company.
(bl
The notes lorni part of these fuk￿claI siatements
Page 5
continued...

I.F.IGH BIIII.DING PRF.SF.RI-A TION
TRUST LIMITED IREC:ISTERED NLMBER: 119796346)
BALANCE SHEET- ¢onlinued
111 Stpiember 2U22
These flnan¢i315tateme￿l5 have been prepar¢d itt a¢¢ordance wjih the provisions applicable to clk7ritsble CDmpanies subject to the
small companies regime.
The financial statement> were awn)ved by the Board of Tft61ees and authorised for issue i)n 29 June 2023 and were signed on its
behalf by..
P A Cosl¢llo- Trusiee
The notes lorni part of these fuk￿claI siatements
Page 6

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS
for the )'ear ended 31) September 2022
ACCOUNTING POLICIES
BASIS of pr¢puring th¢ fingnei*l ¥#tcm¢ttts
The financial slal¢nieDis of the chaDlable company. which is a public i￿nefIt eniity under FRS 102, have becn prepared in
a¢¢ordaiice with the Chariiieb SORP (FRS 10?) 'ALcounting and Reporting bv Charities= Siatement of Recommended
Praciice applicable to Charities preparing their accounis in accordance ￿'1th the Fil￿ncIal Reportin¥J Standard applicable in the
UK aDd Republic ol Ireland IFRS 10?) i=ffe¢iii-e l Jarhuan. 20191,. Financial Reporting Siandard 102 'The Financial
RLptsning siandaid applicable in tbc UK and Republic ot Iieland. and thc C-.otnpaiiics Act 21)Ob. Thc finalicial statcmciits
have been prepared under the historical Cosi ¢oni'ention_
All income is re¢ognised in rhe Siaiemenr of Financial A¢iiviiies once the ¢hariry has entiikment io the fimds, il is probable
that lh= incomc will bc rccciwcd and thc amount can bc reliabl￿.
Expelldlture
Liabiliiie% are reco¥ni%ed expet)ditsJre won there i% a legal or con%tructive obli¥ation cominittin¥ the charity to that
expenditure, Il ii probable thal a transfer ofeconoTTriC benefits wjll be required in 5etileTnenl and the amount of ihE obligation
can be metssured reliably. Expenditure is xcounred for on an aictuals basis and has been Llassitied under headings thai
agybwregate all cost r¢laied io the cate¥ory_ whe￿ cosis ¢aiinoi be diredly aiiribuied io particular kadingFs they have been
allocated to activities on a basis consistent ￿1th the Use of resources.
Tanglble flxed #sseis
Depreeiation is provided ai the following annual rdlcs in order b) wrile off each asstt over ils estimattd useful life.
Long led%ehold
Plant and machinery
Motor vehicle5
.'/0 on
'5Yn Oll COSt
Taxation
The charity is exetnpt frotn cotpuration tsx on its- Lhantable xttvitits.
Fund xecounti*g
Unrestricted funds can be used in Kcordance with the charitable objeciives at the discretion of tlie trustees.
RLstriLtLd fu￿￿5 L4in onlN bc U*Ld fur P4trtjLul4if ￿￿Tril1cd ￿1[hin thc ()bjccLS of thc Lharily. RcstriLiion% ari%L whc
specified by the donor or￿.hen fvnds are raised for panicular resiricied purposes.
Further explanation of the naluTe and purpose ot'each f￿nd 15 included in the tK)tes to the tinancial statements.
Pension £o%ts other post-rvtirement benefits
The chaTitable company operate5 a defined contribution pension schewne. ContrilNJtions payable to the charitable company's
penbion scheme are charged io the Staiemenr of Financial Aciiviiies in the peri￿ 10 w'hi¥h ihew rela￿.
Page 7
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
OTHIR TRADING A￿1vITIEs
2021
Event income
IIYVESTMENT INCOME
2021
Rents received
RAISING FUNDS
Rai5iMg donation5 and legacies
202?
2021
Support C05t5
897
NET INCOMEI(EXPENDITLRE)
Nct incomLI(CXPLndiiurel is sratcd after char¥in81(crcditing)=
2022
2021
Depreciation- O￿Tred as5els
TRUSTEES, REMUNERATION AND BENEFITS
There weT¢ no truste¢s' remuneration or other ￿nefIts for the year e￿Ied 30 SepteTnber 2022 nor for the y¢ar ended 30
September 2021.
Trustees. expemses
There were no irusiees, ¢xpens¢s paid for ih¢ yfdr en(kd 30 September 2022 nor for tli¢ year ended JO Sepi¢mb¢r 2021.
STAFF COSTS
The alerage rnonihly Dumber of ernploytts dwiDg Ihe year was as follow's-.
2021
Administratio
No elnployees received emolumeThis in exce&8 of £60,0(N).
Page 8
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
COMPARATINTS FOR THE STATEMEi4rr OF FINAf4CIAL AC[[￿,1T1Es
Unrestricied
nd
Restricted
fuThd
Total
funds
INCOME AND ENI)ow￿lENTs FROM
Donations and lesiaci¢s
18,223
18223
Oihcr Iiading a¢tivitics
Invesinient income
Othtr income
Total
1.:2V
13.942
190.163
223
13.942
169.534
2(12 919
20,629
20.029
EXPENDITURE ON
Raising funds
16,677
87,830
Other
Total
59216
147 046
NETINCOfvIE
i,992
76502
RF.C.ONC.11.IATIOP* OF FUNDS
Total lund% brought torward
49,IM)?
I OOJ37
TOTAL FUNDS CARRIED FORII'ARD
121512
176839
GK4PiT INCOME RECEIVED
Grants reLeived in the year in relation io wital exp£Ddiillre are carried forward io the following year& lo the extent ihai they
aiE cr¢dit¢d in the Stat¢m¢nt ot'Fiiian¢ial .4rtivitle5 a£ainst the writ¢ doTh'n,'dEpieciatioii of Ilie fii¢d a55et8.
Total grant incotne received by ihe coinpan). in Ihe }"ear. includin8 relenue sranls included in ihe Statement of Financial
ALlivilTL% whLfL, £680.516.
Page 9
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
TANGIBLE FIXED ASSETS
Long
leL*hold
Plani and
M"nery
Motor
vehicle%
COST
At l Ociob¢r 2021
Additions
AI JU ￿LPtL￿1l￿'r 2022
DEPRECIA TAof*
Al l October ?021
ChaTge for j'ear
At 30 September 2022
NET B(KIK ￿ 4LUE
AI 30 Sepiember ?022
At 30 sLPtLtnl￿'r 2021
1.031.437
621 ?10
9.065
815
9.5
1,050.002
628,025
167% 027
49,707
2,375
.781
4.156
888
6.3:7
92.369
1.576.761
3.553
1585 658
9924%]
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE I'EAR
2022
2021
Trade debto
Other debtors
12,348
1.766
l.(J95
9,736
I,(W5
VAT
12.
CREDITORS: AMOUNTS FALLING DUE W'ITHIN ONE YEAR
2022
2021
Bank loanb and overdrnftb (see note 14)
Oiher loans (see noie 14}
Trade ¢rediiors
SoLidl sLLurit)' and othcr t&x
Oiher CTediiors
Accrued expensts
98.747
87.263
228,904
1,777
2(K)
3,800
4?1) 691
33,217
134,322
137,787
1,129
1.446
3111 itkl
Page 10
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
CREDITORS: AMOUYTS FALLING DUE AFfER NIORE THAT* ONE YE.4R
2022
2021
Other Io&n5 (see note 14}
Tax
168.919
1,095
171) (114
14.
LOANS
An analysis of the matUTity of loans is given below..
2022
2021
AmouThts falling due within one year on denwJd=
Bank overdrafts
Other loans
98,747
31.217
134322
167 539
186010
Amounts lalling due between two and livc ￿a￿s=
Oiher lo&ns- 2-5 )'¢ars
168 919
15.
ACCRUALS AND DEFERRED INCOIIIE
2ts22
2U21
DeFe￿£d grants
MOVEMELYT IN FUNDS
Ntl
movement
in funds-
Ai
1.10.21
Ai
Unrestrteted funds
GLnLral fund
121.512
IU9.724
231,236
Reytrleted funds
Re%tricted
55,327
55,327
TOT AL FUNDS
176R39
11)9 724
286 563
Pagell
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
16.
MOVtMENT TN FUNDS- continued
Net movejnent in funds. included in the dboye arL follows=
Incoming
rebourc&q
Reiources
exp¢iNl¢d
Movement
in ￿lid4'
Unrestrieted funds
General tiind
297,760
(188,0361
109,724
Restricted funds
Rislribred
126,051
(126,05.31
TOTAL FUNDS
423 813
-314 0891
109 724
Companktiv£& tor mtyv¢MC￿t in funds
Nei
movement
in fi￿dS
At
1.10.20
30.9.21
Unrestricted funds
General fund
49.IM12
72,510
121,512
Restricted funds
Restricted
51.3_15
-1.992
TOTAL FUNDS
IUO.337
176 839
Comparativc net Tnov¢rn¢nt in fund5, iD¢luded in th¢ abow¢ arc a5 follow5..
Incoming
rcsollrc
Resources
cxpcndcd
Movemeni
in fund
UNrestrlcted funds
GenEral lund
202,919
(130,4091
72510
Restriited funds
Restricted
ia.629
(16.6371
3.992
TOTAL FUNDS
147 0461
Page 12
continued...

I.F.IGH BIIII.DING PRESERN'ATION
TRUST LIMITED
NOTES TO THE FtNANCIAL ST.4TEMEYTS- contlnued
for the )'ear ended 31) September 2022
16.
MOVtMENT TN FUNDS- continued
A curtL'llt ytur 12 ]nonths and piiur yLar 12 ￿onthS ci)mbinLd w￿ltIon iSlLti folluw>.
Net
movement
in funds
At
1.10.20
At
Unrestricted funds
General fund
49,IK12
182234
231,236
Restricted funds
Rcstrictcd
51.335
3.992
55,327
TOTAL FUNDS
I￿.]57
l8(J ?26
2x6 563
A Lurrent yetsr 12 month5 and prior year 12 months cotnbined net movetnetjt in fund4 included in rhe ubove Ejre as follows..
Incoming
resourL&
Resources
expeimled
Moveineni
in tund¥'
UNre&trieted funds
G¢neral tund
51M,679
(318,4451
182.234
Restrieted funds
Res¢ri¢red
1142,6901
3.992
TOTAL FUNDS
4611351
186226
J7.
RELATED PARTh. DISCLOSURES
Leigh Bllildinbr Prebervation Trusi Liwniied has been ¥ranted a long leaye in respect of Spiiiners Milll, a proixrtv owned by
Leigb Spinners Limiied. P D G H(mcks and J S Nlotrisort who are (n￿Lee$ ofLeigli Building Presetvation Trust Limiied are
also dircciors of spi1￿crs Mill Limitcd.
Page 13

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