REGISTERED CHARiTI INIINIBER: 1172301
TIIE I¥I.&RTI'N BIL4CF.GIRDI.F. CII.4RIT.IBLE
01 PIVATIQ
KEVOK'I. OFTHF. TRI'STF.F.&>.4ND
UN.4LDITED FlY￿}C1.￿L ST.4TENIF.NTS
FOR THE I'E.4R ENDED.S,IPRII. 202_

THE NIART)'N BIi4CEGIIU)LE Ckl_4RiT.IBI.E
FOLI.ND.4J'JUN
I'EN I'S 01.. I'HE FtY,.IJCl.11. STItTEIIENTS
FOR TIIE I"EAR ENDED 5 APRIL ?02)
Page
Report of the Trnstees
Independent Examiner's Report
Stalement of Fin%n¢i*l .4ctii'ities
Balance Sheet
Notes to the Tr'inancial Statements
Detailed Ststement of FinanciAI..IctiiitAL
10

THE .NIARTI'N BIL4CEGIRt)l.F. ("114RI'I".4BI.E
TrOU)D..ITION
REPORTOFTHE TRLSIEE'S
FOR"I'HE I LAK EP*DED 4,IPRIL 2025
The trusiees present their rew)n wilh ihL finanLial tslaiements of Ihe charity. for the i".ear cnded S April 2025. The trustets
have adopted the proK'isiong of Accounlino and ReFM)rting b!." Charitie%- Staf¢ment of Recommended PraLtice applicable
to ¢hariiies preparinTr Their accouDts in accordance Mith the Financial Reportino Standard appliGknle in the L,K and
RepubliL (If Irel￿d (FRS I O?} leIfeLti*'e l Januar¥ ?0191.
The Chariiy is a Charitsbl¢ IniiiryKTrrdted OrTrJnisaiion ICIO) poN-erncd according lo the Cun5lilulion dated ?8 NlarLh
?017. It ￿.35 cstablishcd to take forw'ard thi li'0￿ ol- IhL L,'ninLI)rpc)rated .4440ciaiioii reoistLrcd i￿larity. number
117?301.
Th¢ CIO'S annual reports are publish¢d on thc Charii)." CommÈssion l¥'ebsitc, ii'"ith cffcct from the vear endino
2018.
5 ,.Ipril
ThL L10 is an independent chariN.
FIN.4NCI.4L REI'IE
The F¥sulis fDr The peri(xl aiid finaiicial tK>Sttion sd out in the Statetnent of Financial AciiNities on pa<Ye 3 and the
Balance Shcct on pauc 4. NLt inwme for period. before gain&ilosses) on iiivestmeniN: £1 i1,85? 1?024 £126,758).
-fL)Idl unrLStricted incoine (llnds carried fotu'ard as at 4 ilpril )(J?i M".ere £1.081.6*1 120?4 £9? l.j?31.
STRUCTI"Rb.. GOVF.RNANCF. .4ND l1.[A￿.4r.E￿IF.￿T
Coi'eTnin% docurnent
Th¥ eharit). is controlled its governino th¥ument: a deed of tru%t u)nslitule5 dn unincowrated charitv.
RF.FF.REf*C-E..I.ND.4D.IIINIST1UTI￿￿ DE'I"AII.S
R¢gtstered Charitv number
11723Ql
Principal address
Northw'iLh
Chesliire
C￿,.8 IAU
Trust¢¢s
P M BTrcegTirdl¢
D Thon15o)n
J .Kq RraLL'girdlt
RM fvlck¥nie
Independeni Examiner
,Murra} Sinitli 1.1 P
C-.hartered Accountsnis
Ddildnd House
44 11.'innington Hill
N()rthi*iLh
C.he%hire
tlpprovcd b! oidur of the board of Inibtees Dn li (ktober ?02) and si￿7¢d on its kha]f by=
P M Braccgirdlc- Trusicc
Page

INDF,PE*4DENT EX.4IlllNER'S REPORTTO"I"HTr: TRI STF.F.S O
THE 114RTI'N BR.ICEGIRDLE LH..KRI"I..IBLE
FOLND.ATIO
Independent exMminer'_s report to ihe truslees ofThe fvlathi) Bracegirdle Charitable Foundation
I report to the charitv tru5tecs on mv Lxaminaiion of the accounis of The Iqathn BracLwirdlc Charitshle Fi)L￿datiOn (the
"I'rusil for the v&ir ended .) ,Ipril 202).
Respon.%ibilitie5 and basis of rewrt
As the ih¢Wi)' Irust¢es of ihe Tm51 vou are reswn5iblc for the preparation of thL accounts in accordance ￿'Ith the
requ1￿MentS of the Charities Aci 2011 I'the Ait'l.
I rewrt in respect of m} exarnination ofihc Tnisl's uttied oul uiider Section 141 ot thc .4ct and in cam.ine out
m)". examin?£ tion I hai'"e follom'ed all applicable Dircciions oiven bl thc Charit!. Cotnmissinn under Section l Jfj(4llhl nf
the Act.
Independenl ex#miner's statement
I liave coiiiplctcd niN exatnination. I confim) thai no fflaterial mattcts have Come to my attention in Co[￿¢ctIon i¥iih the
cxaTnination gii'ing me Cause to beliel'e that in ani material TespL'Lt-
accounlinu Tccords were noi kepi in respecr of rhe Trust as required hN' Secti()n 1_311 of the _4ct- or
tlie accoiillts do noi a¢¢ord th'itli those records: or
Ihe accounis do not compl). Is'ith the applicablc rcquiTements conccrnine the forni and contcnt c?f aL￿)untS set out
in the C.hdritli'% IALcounis and Rcports) R¢2ulaEions ?008 otlier than an). requiremcnt ihat the a¢wunt5 givc a
true and fair view ￿hiCk1 is not a mattcr uonsidircd ￿ part of an independeni examinc2tion.
I have no concems and have come across no other matÉets in conne￿10n H'"ith ihe examination 10 which attention should
be dra￿￿ thi% repi)rt in (ITdi'r t(Tr u]able a proper undcrs(anding of(h¢ a¢¢ounts io be reached.
Nicola Tuckcr
lurray Smirh LLP
ChartcrL.d ALcuuntants
Darland Hous¢
44 Il'inniiigton Ilill
N'orthwich
Cheshire
13 Octobcr 2025

THE NIARTITrI BIL4CEGIRDLE CH.4RJ I..IBI.E
FallNDATION'
s'rATEMLt44 1 OF FIP*.4NC'I.41, .4C-. I'l￿.1T1F._S
FOR"I'HE I'E,IR EI44DED *.4PRIL 2025
20?4
Total
funds
Unr¢striLted
fund
Notes
IY(:()ME.4ND ENDOITrTrIENTS FROTrI
Donaiions and legacieb
1 ?6,40J
125,000
Inwesimcnt incomc
21.477
17,681
Total
147,875
14?,681
EXPENDI'I LIRE O
charl￿ble aetiiities
Cliaritable doniltion.
InN'cstnicnt managemeni costs
18.5iJ
14,080
1,148
Other
7)7
fi95
Totlll
Net gwns ini'c%ttncn15
8,476
31,409
NF.T INCOIIIE
l J5.3?8
li8,167
REc0￿clLIATIO.N OF- FLINDS
Total tiinds brou,.ht furward
921 J?3
76J,156
TUI"M. FlINI DS C.4RRIED F(}R￿ AIiD
I,Oi6,651
9?1,.72_3
"I"hc nol¢s [D￿n part of these fil￿ncIal statements

THE ￿lARTh'N BIi.IC'EGIRDLk: C"H..IRI'I..IIII.F.
FOUNDATJON
B.4L.4NCE SHEkl'
i.4PIUL 2025
?0?5
Unr¢striLied
fulld
024
funds
FI.XLD ASSETS
InN'estments
998,674
890.46?
cL,RRE￿ r ASSE'TS
1,403
7,305
2.5.UOU
Cash at bank
8,708
31,550
CRLDII"ORS
Atnoiints fallin,, due N*"iihin one )'ear
(6891
NEI" C.'IIRRLY'I ASSETS
i7,977
TOT.4L ASSETS LESS C'I"RRF.YT
LI.4BILI-I'ILS
.0.56.6il
NET ASSETS
1,0.56.6A I
9? l.j2 J
FliNDS
Llnreslricied funds
1.046,6) I
921,32)
'I"OTAL FIINDS
921.-?2.)
'I'he financial statements ￿CrC approvcd ihL Board ofTrusie¢s and authort5cd for issuc on l ) October ?0?5 th¢r¢
4i¥ned on behalf bw..
Ttie notes fonn part of these financial %tatemenls
Page 4

'I'IIE TrlklRTIIN BRACF.f.IRDI.E C-.H.ARI"I'..IBLE
FOLfsDATION
o'i'Tr',s'rn THF. FINIlJCI..IL S'I'.4TElIIF.￿.I.S
FOR THF. Tr"F.AR ENDED 5_4PRIL202_S
AC.C()11)'TlING POLICIES
Basis of preparing the financial stxtemenis
Thc lindnLldl siaienienis of Éhe iliariti. i%hich is a public IK'nLfii cntity u￿der FRS I O? havc Ixcn PTYpared in
accordanLc wilh Èh¢ Chariiies SORP {FRS 10?
'4cLOUntill¥ dnd Keponing b}, Charitie5- Staterncnt of
RtwmmLiided Practice applical)le to Lh&Lrities preparillo iheir ac¢ount£ in accordanc¥ ivlth the Financial
Ileportinn Standard applicablL in the UK and Republic ot" Ireldnd (FRS IU?) IcffLYlivt l Janu￿. ?0191',
Financi?1 Keportino
S'tandard 111?
-Ilie F"iiiancial Rcponing S[￿d8[d appliiable in thc UK and Rcpublic of
Ireland, and thc Chariti￿ .4Lt ?01 l. "Ihc financial sratCTnents haN'e ITr￿.￿ preparcd und¢r tlie hi£torical uo_%t
con¥'enlion. I￿"1(h Ihc ¢XL¢Ption of investments ￿hICh are included ai ma￿-e1 Tra]ue. as modified bw the rci'alualion
of certdin dSSLts.
Jncovnc
All incomc is rccogniscd in ihe Sial¢meni of Financial ,laii'itics thL Lharil). lias eiititleDi¢nt to ihe lunds, it
is probable that the inconie i%ill ht ieceii.id and the amount can be mea%ured reliablTr.
Expenditure
Liabilities are reLO_gnised a5 e.¥penditiire Soon there is d le(fdl or ￿lIstrU￿[lVc ubligaiion conimitting Ihe
charity ro Iliat expttnditure, it is probable thai a transfer ol- LLonomic benefits ￿.711 be rcquirLd in scttlcmLnt and
the amount of thc obligalion ean bc measurL'd reliabl￿. Lxpenditure 1£ 2ccnuntth for on ￿ aL¢ruals basi5 and has
bLcn classificd uilder headinos thai aoryeoatc all cost rclatcd io the cateoory.. 11,Thcrc cost5 &8nnot be directly
attributcd to partieular hetKlings thei ha￿e been allocdted tt) dLtii"ities on a basis consistent with the usc of
ILS()UILes.
Taxation
The chariry iq exempt from lax on ils charirablc <?Cll%'ltitt%.
Fund Atcounting
Unr¢slricied fuiid£ cali be used in accordanc¢ ii.ith Ihe charitable objectiies at the disLrLlion of thc tNstcei.
Reslri¢ted funds can only be U5LxI lor panicular rtstriaed purtK)Aes within the objects of the ￿harIty. Restrictions
arise ￿.hUll S￿lfIed bv the donor or ivhen funds are rnised for particular rc5tricied purpx)ses.
Further explanation of tlic natur¢ and pu4)Dse of each fund is includcd in the notes to the financial stdEeni¢nts'.
INWISTI¥IEYT If*CO.IIE
20?4
Dividcnds rcccii'cd
?1.47?
17.681
¢onlinLJed...

TIIE NIARTI N BIL4CEGIRDLE CII.4RIT.4BLF.
FOLlli D.ITION
NOTF.S TO TIIE FINANCIAL STATE.NIENTS- rontinued
FOR THF. I F.AR Tr.NDF.D i APRIL 202)
CHARIT..IBLE AC rTh'rriES cogrs
Dirccl
C.i)%t%
Charitable donations
Investmeni managerncnÉ costs
18,540
1,736
'I'RL5TEES' RETrIUNTr:RAI IOP4 AND BENEFITS
Ther£ i¥Cfi nu trust￿, remuneration or oihcr bLn
5 April 20•4.
fits for the Trear ended 5 .4pril 20?5 nor for the year ended
Trustees, expenses
Thcrc wcrc no tritstees. expenses paid for 1he ￿ear endcd S .,Ipril 102Th nor for the year ended i April 20?4.
(..0￿1P.4R.4TTVEs FOR THE STATEIIEhT OTr FI,%'.4.NCI.4I. ACTtvrriF.S
Unresiricted
fund
INCO￿1￿. AND ENDOITrNIEYfs FROII
Donations and IcgaLics
125.000
Investment income
17,681
Total
149.681
EXPF.NDI'I"l Rb.. ONI
C.harit3hle activithes
Q'hdrildbl¢ (l()iiaiii)n
Ini'eslment managemcnt costs
14,080
1,148
OthEr
695
Tntsl
l i,92.3
NLI gain% on in*estmenis
-31,409
r4E,T INCOME
1fj8,167
RLCOJ'CILIATIOPI OF FI"I%DS
Total lundb bwughi For¥iaid
76J,156
TOT.4L FUNDS CARRIED FORIW..IRD
9?1,-321
Page 6
coniinued...

THE MARI'I'N BRACEGIRDI.b". (."11.4RI'I.4111.E
OLiNDA"rio
NOTES TO I"HE FIN.AP*CI.4L S'I'A'fTr..MF.NTS- continued
FOR"I'IIE I'EAR ENDFD ? APRII. 2024
FI,KF.D ASSET INN'ESTIIF.NTS
c.ash
s¢tileiii¢nLS
pending
Lisled
iniesmients
Totals
.TrI.IKKET IJ.ILUE
At 6 .4pril ?0?4
Addilions
Disposals
Revaluatii)n8
807.2.70
80.2_i9
17.liO)
8,476
8.3.?1 ?
107.90
181 ?f8)
890.462
188,144
{88:408)
8,476
Ai 5 .4pril ?02)
XXX.815
109.859
998,674
NET BOOK I'ALIIE
At 5 .4pril 20?-
888.815
1O9.8.f9
998,674
Ai 5 .4pril •0?4
807.?iO
890.462
Thcre ￿'ere no ]n￿'¢sunent assets outside ihe l.K.
DEBTORS: ,%.%IOLNTS Tr'.4LI.ING DUE 11.￿H[l ONE I"E.4R
20?4
Prepayments and aecrned income
i1.411.1
? s.000
CREDITORS: _.111101 P4"1'S Tr.4LLING DIIF. 11:ITHIY OI'F. TrEJlR
?O?i
2024
Ac¢rn¢d expenqes
731
689
IIIOI'EMENT IN FLINDS
Net
Tnowement
in funds
At
5.4.25
At 6.4.?4
.nrl￿1y1CIed funds
General flind
l j5..3?8
l.Oi6,6.i I
TOT.41. FI',NDS
I,Oi6,6.51
Nei movcmcni in limds, included in the aboN'L Are as follo￿%..
InLOmlTI(F
resources
Resources
ex￿nd¢d
(iains and
logses
Mnvenienl
in fi]nds
Llnr<strieted funds
Gti)erdl fund
147.875
(21,02))
8.476
135.3?8
TOT.4L FufsDS
147.87)
8,476
115,.)28
Page 7
continued...

'rHE NI,.IRTI"N BRAC.'EC.IRDLE C.H.ARITABI.F.
FOLfNDtlTJ0￿,
NC)'I'*'S'IO'I'HE FIN.4YCJAL ST.ATEI¥IE)TS- eoniinued
FOR TIIF. YEAR ENDED 4 ItPRIL 2024
MOIPF.iIIEN'T IN FI'.NDS- continued
ComparAti￿.es for mo%'emeni in funds
movemeni
in funds
At
Al 6.4.?3
I,nrestricled funds
Gcncral fun([
76).li()
1£8,167
TOTAL FLNDS
76j.l i6
148,167
921,323
Comparatii'e net mowement in fimds: included in the aboiic arc a5 lulloiv5-
Incomin
resources
Re￿)uTte*
eip¥ndcd
Gains and
losses
Movement
in fijnds
Ilnrestricted funds
(ieneral fund
14?.681
(15.9?Jl
158,167
TOTAL FLNDS
14?.681
(15,9?))
158.167
..I curr¥nt vcai l ? m()nths and prior Tr'ear l? months combincd position is as lolloiYs=
moweiiienr
in tunds
At
5.4.25
Ilt 6.4.?-
litEr￿tT￿Lled funits
General fuT)d
763,1.56
?9.),49 j
1,056.6.51
TOTAL FI,"NDS
76J.156
?9j.41)5
1.0.56.6.f I
A cuThcnt l? months and prior }ear l? moiiths combincd net Tnovement in fuiids. included in the above are
as folloM.s:
Incomin
rcsourees
Resource
expended
Gains and
lo&&es
fovcnicvT
In frunds
Unrestricted funds
General fund
290,*56
(i6,946 }
i9.88)
29i,495
TOTAL FLINDS
?90.)56
(i6.946)
?9j.495
Paee 8
continued...

TIIE 11.4RnTh BIi4CEGIRDLE CH.￿￿7...￿BLE
FOLNDATIO
NOTES TO THE FIN.&NC'I.,11. S'I"..I"I"D:I¥IF"N"I"S- continued
FOR THE I'EAR EP*DED S APRIL 2027
io.
REL.4TED P.4RTTr" DISC.I.OSLRF.S
Tkcrc were no related part5, Itansactions forthe }'"ear endcd i .4pril :. 095.
Page 9