REGISTERED COMPANY NUMBER: 0963546S (England and Wxles)
RECISTERED CHARITY NUMBER: 1161&)8
Re rtof the Trusttt5
dl
dals
for
National L￿d Based C4)Ile
Kilby Fox
Charterd Accountants
4 Pavtlion Court
600 Pavilion Drive
Nortlwllpton Business Park
NorthamptQD
Northamplonshjre
N4 7SL

Contents of the FinaD¢ial Statements
Report of the Tru$ttts
IlldependentEx￿IthieI'$ Reporl
Statement of Fin8nci*l Activities
BAIADee Shett
Notrs to the Flnand81 Ststernents
Detgiled Ststement of FI￿ncI&l Activilies
io

IY*tltsnal L￿d Bmed C4)Ue
rt ofthe Trn$tees
r the Year Ended 31 Jlll 20
The wstets who are also dir￿torS of the charity for the pur[M)S￿ of the Compani&q Act 21K16, present their report with
the fjnancial statements of the charity for the year etmled 31 July 2024. The truste£s have ￿lOpted the wovisions of
Accounting and Reporting by Charities: Stsi¢meni of Re£ommenda Pr￿tice applicable to charitiu preparing their
awunts in a¢¢ordgnc¢ with the Finatlcial Rqjorting Standard applicable in the UK and Republic of Ireknd IFRS 102)
Irff￿live l JaDuary 2019).
STRucrU￿ GOVERNANCE AND MANAGEMEf4T
Governlng dotllment
The charity is controlled by its governing documenl a deed of tsIKsL and cOnsti￿t£S a hmiied company. limited by
guarantee, as defined by the CA)mpanies Aet 2006.
REFERENCE AND ADMINISTRATIVE DETAIIS
R*tered Comphny numbtr
0963M65 (England and Wales)
Rwsternl Charlty llumljer
1164698
Registered office
UnIv￿ty OfNorth8mpton Innovation
Centre
Green Stred
Northamp￿ll
Northamptondjire
NNI ISY
Trysteos
R W Lot)￿horP OBE {resigned 23.4.24)
CJFMatts
M Clinton
D V Phillips (r£S4￿cd 23.4.24)
SJGadd
MTS A I Payne
Mrs J E Milburn
DTTMUpwrt
Dr T Whitakercompany Director
Indryendent ExAmiDer
Kilby Fox
4 Pavilion Court
600 Pa*ilion Dtive
Northampton Busin￿Park
Northampton
Northamptmshire
NN4 78L
Approved by order of the board oftrustrs" OD..
..2..4-1.9..12..S..........
. at¥1 signed on its beh￿rby.
C JF Matts- Tn￿tel
Page I

Inde
dent Examlner's Re rt tothe Tru$tee5 of
N8tloDal Land BA5ed Coll
Independent¢xamiDer's report to the tTUStets of NatioD#I Land Based Colkgt ('the CoThpanY)
I report to the charity trustets ott my examination of the a¢￿1￿1$ of the Company for the y¢arended 31 July 2024.
R￿pOnSibl71t1es 8nd of report
As the ¢haTity'S t￿Ste¢S of the Thjmpany (and also its directon for the PUTW)ses of ¢ompany law} you are responsible for
lh¢ preparation of the accounts" in accordance with the requirements of the Companies Act 2(￿￿ I'the 2(Ki6 Act,).
Having satisfid myself that the accounts of th¢ Company are not rts]uird to bc aydiia under Part 16 of the 2(K)6 Act
r¢ digible for ind¢pende4)t ¢xaminatioffj I report in rwect of my examination of your ¢knty'$ accounts as eaTTied
out under Section 145 of the CThariiI￿ Act 2011 fthe 2011 Act'}. tn carying out my expmination I bave follow￿ the
"r¢ctionsgiv¢n by lh¢ ChaTity Commi55iou und¢r S¢etion 145(5) (b) of the 2011 Act.
Independent ¢xamlner's stHtemeDt
I have completed my examination. l ¢onfJrni that no matters have come to rny attention in Cotlrt¢￿loll with the
exarnination gYvin8 mc cause to bclicve:
a¢￿untIng records were not kept in resm of the CoMp￿Y asrequirttj by Se¢tion 386 of the 2(M)6 Act" or
theaccounts do not accord with tt)os¢ r¢coTd% QT
the ￿Ou￿tS do not COTnply with the accounting requirements of Seaion 396 of th¢ 2006 ALt othcr than arty
iequimnent thai the accounts give a tw¢ and fair vi¢w which is not a matter Co￿]dered as part of ￿ Indep￿dent
exanination. or
the atcounts have not been prepar¢d in accordance with the mdhods at¥1 principl&s of thc Staternertt of
Rttommended Practice for accounting and r¢￿irtg by charitie% (applicable to charities prq>￿ing their ￿oUnt5
in ￿OrdanCe with the Financial Rqjorting St&￿ard app]icable in the UK and Republic of IT¢land iFRS 102)).
I hve no eonc¢rns and have eom¢ across no other matters in conntttion with the examination to which attention should
be drawn itl this report in order to ¢Dabl¢a pryr undersLqnding of theaccounts to be reac1￿d.
Fran¢4s T¢blxJtt ACA FCCA FMAAT
Kilby Fox
4 Pavilion Court
600 Pavilion Dtive
Northampton Businu$ Park
Northampton
NoTthamptonshire
NN4 7SL
2.b../4/25..-...
Page 2

N*lioD81 IAnd H￿ed Colle
St#tement •f Flnandal ACtI￿tIeS
for the Year Ended 31 Jul . 2024
2024
Unrestricted
nd
2023
Total
funds
N￿eS
INCOME AND ENDOIIMENTS FROM
Othertrading a¢tiviti¢s
63J16
48,271
EXPEf4DITURE ON
Raising fithds
7&81
56,944
NET INCOMEI(EXPENDITURE)
(15,490)
{8,673)
RECONCIUATiof4 OF Fin4DS
Total fLU]d4' broughi fotward
139.044
147,717
TOTAL FUNDS CARRIED FORWARD
123,554
139,044
The notes forn) part of tIMe fin8n¢ial #aements
Page 3

Balance Sbe*t
31 Jul 2024
2024
Unrestrictoj
fi]nd
2023
funds
Notes
CURRENf ASSETS
Debtors
C.&$h at bank
36,609
87,325
105
14J,687
123,934
143.792
CREDITORS
Amounts falling Ilue wilhin one year
{380)
(4,748)
NET CURRENf ASSETS
123,554
139,(
TOTAL ASSETS CURRENT
LIABIIJTIES
123,554
139.044
NKT A&8ETS
123,554
139.044
FUNDS
Unrestricte41 fwids
10
123,554
139,044
TOTAL Fuf4DS
123,554
139,044
Tr tharitable r4)mpany is entitle41 to exemption from audit under Stttion 477 of the Compatties Act 2[￿ for the ycar
¢ndcd 31 July 2024.
The meM￿r$ have noi required the ￿MpanY to oirtain an audit of its financid aateM￿ts for th¢ year ¢nd¢d
31 July 2024 in accordance wilh Se¢ti¢)n476 oKth¢ Compani¢s kn12(Kl6.
Thc trnstecs acknowledge theirrespon5ibilitie5 for
(a)
cnsuring thai the charitable company keeps accounting re£ords that Comply with Sections 386 aThl 387 of the
Companies Act 20(kn and
eparing financial slatements which give a true and fair view of the slate of affair$ of the charitable company as
at the end of each financial year and tsf its surplus or deficit for edch fll￿CIal year in xc0rdaT￿t with the
ra￿irements of Sectiot)s 394 and 395 and which otherwise comply with the requiTttnents of the Compani¢s Act
2006 ie]ating to financia] statements so far &$ applicable to Ihe charitable ¢ompany.
(b)
These fEnan¢ial Statem￿1$ have been prepared in accord8nce with the prOvisi￿S applicable to charitable companies
bject lo the small comp2m'&* rwme.
The financial #atements were approY•l by the Board of Trn$￿eS aUth￿l$ed for issue
2. ¥ 14g./.l..s....... and were signed on itsbehalf by..
C J F MaL8. Tnjsttt
The notc5 fonn part of these financial Slatem￿ts.
Page 4

NationRI Land Based Colk
Notes to Ihe Finonci81 ststerne￿ts
forthe Year Ended 31 Jul 2024
ACCOiJNTJNG POLICIES
Basls Of pr¢p8rlng the fiThan¢lal s¢8t¢ments
The financial btatemenlb. of the charitable CQmPAny> whith is a publjr irncfit rnijty un(kr FRS 102, have bcen
pr(yred in ac£ordanee with the ch￿ltieS SORP (FRS 102) 'Accounting and Reporting by Charitie8'. Statement
of Recommended Practice applicable to charities preparing their ￿¢ounL* in accordan￿ with the Finattcial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),,
Financia] Reporting Standard 102 71)e Financial Reporting Standard applicabl¢ in th¢ UK and RewJb]ic of
IrelatMI' aTMI the Companies Aci 21MJ6. The f]]wcial stalellhenL4' have been Prepared under the his¢ori¢ai cost
convenlion.
Incorne
All in¢om¢ is reco8nis¢d in the Statement of Financial Activitie% onc£ the charity h&4 entitlemtht lo the fund4 il
is pmbable thai the it)come will be receiyry] and the amount C8n be Jneasured reliably.
Expelldilure
Liabilities ar¢ rexogni%d u ¢Xp￿ditUr¢ as soon as th¢r¢ 15 a le￿ or constructive obltgation committtng the
cha￿ty to that expertditur< it 1$ probable that a tran*fer of (*orttsmit bentfit% will be rqlliral tn setdemeni and
th¢ amount of the obligation ean be meosurd reliably. Expenditure is accounted for on an ac¢Nals bwis and h&
been clwified under headingg that aggreg￿ all co&t relat￿ to th¢ category. Where costs cannot be directly
ttnThuted to partiwlar hwlings th¢y hav¢ iwi all(ut¢d to activiti¢s on ? b&8is consistent with th¢ use of
Jrsour¢es.
Tangibk fixed assets
Dcpreciation is Provided at the followin8 annual rdtcs in ordcr to write off cach asset over its ¢stimat•J use￿1
life.
Cotnpuierequipmeiit
33.3 /0 on cost
Taxation
ThechaTity is¢x¢mpt from corporation on its charitable xtiviti&s.
Fwid xeountlng
U]lltstiictd funds can be used in accordance with the charitable objectives at the discretion of the trust¢¢s.
Reth¢ted fundy Can only be used for particular restricted purposes within the obje£ts of the chality. Restrictions
arise when specified by the donor or whets funds are raised forpanicular restrict&J purw$￿.
Further explanation of the ndure and purpose of exh is included in the notes to the financi￿ staternents.
OTHER TRADING ACTIVITIES
2024
2023
C & G JSA It￿0￿e
Pmje¢t fundirtg
43,316
20,000
31271
17,IKK)
63,316
48271
Page 5

N•te$ to the Statements- tontitiued
for the Year Ended 31 2024
RAJSING FUNDS
R*tslllE donalions *Dd legacies
2024
2023
Support costs
78,81
4.544
TRU5TEES' REMUIYEIL4TIOIY AND BENEFITS
There wert no intsttts, ronunerdtion or other b￿cri￿ for the year ended 31 July 2024 ll￿r for thc year ￿ded
31 July 2023.
Trust&s' expenses
Expojsts t£￿ting£Ni] were paid to Otrustets during the yearended 31st July 2024 (2023: £Nil}.
COMPAIL4TIVES FOR THE STATEMENf OF FINAP4CIAL ACTIVITIES
Unrestricted
fvnd
INCOME AND ENDOWMENTS FROM
Otherti￿In8 activiti&s
48271
EXPENDITURE ON
Raising futtds
56,944
NET INCOMEIIEXPEIYDITURE)
18.6731
RECONCJLIATION OF FUNDS
Totai fvnds brought fotward
147,717
TOTAL Fuf4DS CARRIED FORWARD
139,044
INTANGIBLE FIXED
Wthte
COST
Al l AugLLsi 2023 a[￿ 31 July 2024
12,014
AMORIISATION
At l August 2023 and 31 July 2024
12,014
NET BOOK VALUE
At 31 July 2024
At 31 July 2023
Page 6

National Land B88ed Coll¢
Irfotes to the Flnaneial Statements- th￿tIn*¢I1
for the Year E￿ded 31 Jul 2024
TANGIBLE FIXED ASSETS
Comput¢r
equipment
COST
At l August 2023 and 31 July 2024
6,820
DEPRECIATION
At l August 2023 and 31 July 2024
6,820
NET BOOKVALUE
Ai 31 July 2024
At Jl July 2023
DEBTORS: AMOiryTS FALLING DUE W￿H1￿ ONE YEAR
2024
2023
TTrde debtors
36,609
105
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trdde creditor5
4,748
io.
MOVEMENT IN FUNDS
Net
movement
in funds.
At
31.724
At 1.8.23
Ullrestrkted
Gcncrd] fund
139,044
(15,490)
123,554
TOTAL FU]YDS
139,044
(15,49))
123,554
Net movement in funds, in¢lud¢d in th¢ abov¢ ar¢ as foll
Incoming
Rw)urcLs
Movement
in fu]Mls
Unrutrlct¢d fvnds
Gthetsl fund
63,316
(78.806)
(15,490)
TOTAL FUNDS
63.316
{78,806)
{15,490)
Page 7

Nots8 to the FltsancI￿ Statements- eontlDued
for tbe Ytar Ethded 31 Jul 2024
io.
MOVEMENT IN FUNDS- eODtinved
Comp#r#tfves for movementln funds
Nd
movement
in funds
At
31.7.23
At1.8.22
Unrestrlcted funds
Generdl fund
147,717
(8,673)
139.044
TOTAL FUNDS
147,717
(8.673)
139.044
Comparative net movement in funds. indudd in th¢ above aff as follows..
Incomirtg
resouwes
Resources Movemalt
¢XP¢4)d¢d
iti funds
Unrestricted fuDds
GeneTa] fimd
48,271
(56.944)
(8,673)
TOTAL FUNDS
48,271
(56,944)
(8.673)
A ¢urT¢nt y¢ar 12 months and prioryeor 12 months combined p)sition is as follows:
Net
D)ov¢ment
in funds
At
31.7.24
At 1.8.22
UnrestrI¢ted funds
Gcnerdl fund
147,717
(24,163)
123,554
TOTAL FUNDS
147.717
(24.163)
123J54
A curre￿1 yrdr 12 months artd prior year 12 months combin&J nd movement in fvnds included in the above are
&$ follows:
coming
Re￿UrceS Movement
resources cxpcnd¢d
in fi]nds
Unre5tTiited funds
Generai ￿nd
111,587
{135.750)
(24.163)
TOTAL FUNDS
111587
{135.750)
(24,163}
Pag¢ 8

N8tionAI Base41 Colk
Note5 to th¢ Fin•nci81 Statemellts- contithu£d
for the Year Ellded 31 Jul . 2024
RELATED PARTY DISCIA)SURES
Th¢r¢ w¢r¢ no r¢la¢d paty ttznsactions forthe Year¢nd￿ 31 July 2024.
Page 9

N•tlonil Bued Colle
Detall¢d StstemeTrt Of FID8ncial Activitie5
f r the Year Ended 31 Jul . 2024
2024
2023
INCOME AND ENDOWMENrs
Other trading Attivitles
C & G JSA In¢ome
Project fijnding
3 1,271
17.(KKI
20.0(M)
63,316
48.271
Ttyt41 in￿Mi￿R rew￿¢9
63,316
48,271
EXPENDITURE
Support Costs
Management charges
.￿cl proj￿1 cobxs
49,995
21.(KK)
50,1XK)
70,995
50.0
Govern#nee eosts
oirice rental
2.400
267
88
1864
1,056
2,4(K
Sundries
Accountanry f¢
Professio1￿7 fees
Trav¢lling
Computer weJ)sit¢ tosts
sUP￿Lyip1iotts
i(
3 J77
13
1,014
1,112
24
7.811
Tothl Jrsources expend)J
78306
56,944
Net expewjiture
(15.490)
{8,673)
This page does not forn) pfflt of the stslutory financial statements
Page 10