TRUSTEES, ANNUAL REPORT
For the year ended 24 March 2025
Manchester Academy of Community Gymnastics Ltd
Charity number: 1174633
1. Structure, Governance and Management
Manchester Academy of Communty Gyrnnastics Ltd is a charitable company limrted by
guarantee and is governed by its Mernorandum and Articles of Assoaation. The charity is
registered with the Charity Commission for England and Wales.
The trustees, who are also directors for the purposes of company law, are responsible for
the strateg ic direction and governance of the charty.
Truste8s are appointed in accordance with the Articles of Association. New trustees receive
appropriate induction covering the charity's governing document, safeguarding
responsibilities, governance framework and financial oversight. The trustees meet regularly
to review perforrnan￿, financial management. safeguarding compliance and risk.
2. Objectives and Activities
The charity's objective is to prornote community participation in healthy recreation by
providing facilities and opportunities for gymnastics and related physical activities,
particularly for children and young people.
In planning the charity's activities, the trustees have had due regard to the Charity
Commission's guidan￿ on public benefit.
The charity deltvers structured gymnastics sessions across a range of age groups and
abilities wrthin a safe and supportive environment.
3. Achievements and Performance
During the year, the charity continued to provide gymnastics provision to children and young
people within the community.
Key areas of activty included:

Delivery of structured gymnastics classes
Ernployment of qualified coaching staff
Ongoing safeguarding complian
Maintenance and development of facilities and equipment
The charity employed an average of 31 staff members during the year and was supported by
volunteers who contributed to the delivery of activities and events.
Demand for sep4ices remained strong throughout the year.
4. Financial Review
Total incorne for the year was £1,022,822. comprising:
Donations and legacies: £12,645
Other trading activities (gymnastics provision): £1,009,514
Investrnent income.. £663
Total expenditure for the year was £1,109,578, primarily relating to the direct deSivery of
charitable activities. Staff costs totalled £646,233.
At the year end, total funds stood at £227,873.
The accounts have been independently examined and no matters of concern were identified.
5. Reserves Policy
The trustees aim to maintain sufficient unrestricted reserves to:
Ensure continuty of Servi￿ delivery
Meet short-term operational cornmitments
Manage fluctuations in income and expenditure

At 24 March 2025, unrestricted funds amounted to £227,873. The trustees review the
reserves policy annually.
6. Risk Management
The trustees regularly review the principal risks facing the charity. Key risks include:
Safeguarding
Financial sustainability
Health and safety
Staffing and recruitment
Appropriate policies and procedures are in place to mitigate these risks.
7. Safeguarding
The charity works with children and young people arKJ has safeguarding policies and
procedures in pla￿. Safeguarding remains a priority for the trustees.
8. Trustees, Responsibilities
The trustees are responsible for preparing the Trustees, Annual Report and the financial
statements in accordan￿ with applicable law and regulations.
The trustees confirm that:
Proper accounting records have been kept.
The accounts comply with the Charities Act 2011 and applicable accounting
standards.
The financial statements give a true and fair view of the charity's financial position.

Signed on behalf of the trustees:
Oliver Quinlivan
Trustee
Date: 13 February 2026

CHARITY COMMISSION
FOR ENGLAND AND WALES
M9n¢hesler Academ
ol Commun.
Annual accounts for the
mnasV¢s Lld
eriod
1174633
Pemd ￿art dale
To
Peri¢*l
dale
2510Y2023
Section A
Statement of financial activities
Restrlcted
Unr•8trf¢t•d
funds
Endowmènt
funds
Pflor y•ar
fund$
RKomm•ndod cat•gorb•s by actlvlty
funds
T¢)tsl funds
Incomlng moureès INotè 3}
F01
F02
F03
F04
F05
om• and •nd¢)wm•n¢• frvrn:
D(mai*)ns irfaoos
ChVrt•bf• •¢bvits•S
81.324
othorlroJn9 Ktl¥lUo$
Irr4èsknenis
mtherfalitem fAlncorn8
$05
(Jh•r
1.022,822
1.022.822
1.022,822
1,022.822
Total
Resources expended (Note 6)
Expondltur• on:
S07
81,324
sca
*9
1.109,578
1.109578
$qpw•t• m•twW K•m ol•xp•
other
Total
S10
S12
1.109.578
1,109,578
1,060,639
Net in¢omellexynditur•) before invastmont gairbsI{109so8)
$13
86,756
86,756
979,315
S14
Net Incomellexpendlture)
Extraordinary items
Transfern between funds
Other recognlsed gainslllosses):
SIS
86.756
86,756
979,315
Sl8
$17
G0th$￿d I￿#•5 ￿ M*Uqbonoffi￿ •18•ts U
Olhw gamglVo¥¥•¥l
Net movemènt In fvnds
S18
S19
86,756
979 315
Reconciliation of funds."
TelEI braugN Ic¢¥￿rd
141.117
227.873
141,117
227.873
167,728
1,137,043
Total funds carrled lorward
CC17a {Exc81)
1210212028

Section B
Unrestrfcted Restrfctgd
funds
Income funds
Endowmont
funds
Guida
Total thL8 ygar Total last y8ar
Fixed assets
Intangible assets
Tangible assets
Heritsge assets
Investments
F01
F02
F03
F04
F05
{Ilote 151
(Note 14)
(Note 16)
(Note 17)
rotal flxed assets
418.131
418,131
425,092
425,092
Current assets
Stocks
(Note 18)
Debtors
INote 191
Inve8tm•nt8
(Note 17.41
Cash at bank and in hand (Note 24)
Total ¢urrnnt asset$
32.986
32.986
51,987
34,858
86,845
810
172.
172,
Credltors: amounts falling duè withln
one year
(Note 20)
794.778
794,778
620,957
Net current assets/(Ilabllltles) 812
534,112
Totsl assets less current Ilabllltles
813
109,020
Creditors.. amounts falllng due after
one year
(Note 20)
Provl8lon8 for Ilabllltles
B14
24,(
24,066
32,097
B15
Totsl net assets or Ilabllltles
Funds of the Charity
Endowment funds (Note 27)
Re8trlcted Income funds (Note 27)
Unrestrl¢ted funds
Revaluation reserve
B16
227.873
227,873
141,117
B17
B18
B19
B20
Totsl funds B21
227.873
227,873
141,117
227,873
227,
141,117
Signed by one or two trustees on behalf of
811 the Iruslees
Date of
approval
ddlmm
Signature
Print Name
OLIVLQ o
131uL
CC17a (Excel)
1210212026

Scction C
Notes to the account5
Note 1
Basls of proparation
Thls sectlon should be ¢ompleted by all charities.
1.1 Ba818 of ac¢ountlng
These accounts have been prepared under Ihe hlstorical cost conv8ntion with itarro racognisgd al cost or transaction value unlgss 01ha￿ls8
stated in the relevant nolels) to Ih85e accounts.
The accounts have been pr8pared in accordance wilh..
the Statement of Reeommended Practice: Accounting and Reporting by Charities
preparing their accounts in accordance with the Financial Reporting Standard applicable
in the UK and Republic of Ireland (FRS 1021 issued on 16 July 2014
and wth.
and with"
the Financial Reporling Standard applicable in the United Kingdom and Republic of
Ireland {FRS 102)
and wlth the ChantiesAd 2011.
Th8 tharity ¢onslilul8$ a public benefrt entity as defined by FRS 102."
-r¢¢k 88 appropr￿1•
1.2 Golng concern
If there are material uncertainlies rel8te<l to events or condltlons that cast signifiunt doubt on the charltyS ablllty lo contlnue as a
golng concern, please pmvide the lollowing detaits orstaie "Not applicable.: if appropn"ate.'
An explan8tlon as lo those faclorn that supp)rt the condusion that the
¢hafily is a golng concern.,
Dl8¢lo¥ure of any uncertainlles that make the going concem assumplbn
doubtful.,
Where accounts are not prepared on a golng ￿nCerN ba$i8, please
dlsclose this fact together with the bas1$ on ￿ttl¢h the tru$tee$ Prepa￿d
the accounts and Ihe reason why the charity is not fe9aided as a going
concem.
1.3 Change of accounllng pollcy
The accounts present a true and fair view and the accounting poltdes adopted are those ouUined in note { }.
Yes.
-Ti¢k #s ¥ppropn8te
No.
Please dtsclos•.'
(i) the nature Df the change In accountlng pollcy,.
yi
Ingp
vi
{IllJ Ihe amount of the adjustment lor each Ilne affected In the current pen'od. each
prlorperlodpresented and the aggregate amount olthe adjustmentrelallng to
perlods before those presented. 3.44 FRS 102 SORP.
1.4 Changes to accounting e5timatss
No changes lo accounlino estimates have occurred in the reporting period13.46 FRS 102 SORPI.
Yes"
No"
-rKk as appr0lw￿te
Please thsclose..
CC178 (Excel)
12102r2026

(l) th• nature of any changes..
Il) the effoct of the change on income and expense orassets andllabllltles for the
currentperlod,. and
Illl) where practlcable. the errect of the change in one ormre future perlods.
1.5 Materlal prlor yaar èrrors
No materi81 prior year erroT have been identified in the Teporting period (3.47 FRS 102 SORP).
Yg5'
No"
-Tick as appropriate
Please dlsclose."
(i) the nature of the priorperlod error
{11) ftir each prlorperlodpresented In the accounts. the amount of the Correctlon
for￿Ch accountllne Item alfected,. and
(111) th• amount of th• corrnctlon at tho b•glnnln9 of the earfl85t prlorp•rfod
pr•s•nted In the accoun
CC17a IExcdl
1210212026

Section C
Noies io the accounts
Icontl
Note 2
Aceountlng pollcles
2.2 INCOME
an
lic h8sb8en 8do
èna
lftenthi&i$ det*ledin the boxbth.
RKognltlon ol tncome
The£e aro knthded ￿ thesthiern.eni of Fknanrl81 kb¥￿•5{s￿A>
eL**tybeeome$•Mthdto theresourrLs'.
%mor8 Ik8tylh8n nth the￿￿ee5 VA receNe thE resour￿$.,
themonewv*Jeun be measured*th rvlabfjty.
Yes
Thefe has beth) no offseiing of asse1$8nd IklMid•4 wknccrtne and W*lS•S,UTrtess r•gwed Yas
pwmw tythe FRS 102 SORP orFRS 102.
No
Ollsettlng
Ye$
Gran15 aid doDabons ale thtyir*hJd•d in the SoFAvthefi the9e￿er￿
re[0￿￿On rAerf4 ￿ rnet1S.10105.12 FRS102 SORPI.
In the c8stsolptrftrfm￿CÈ fl￿1¢￿ be I￿?9*•d tothe
frthntthFI the4*vtyhas proknqd thè sP￿d gotrdstr seth asertlltsmeni
the gramontyocuJrs**entheperfDnnanc• r•i*èdts)TrJ(atnS Ar￿M￿ls.16 FRS 102
SORPI.
L8Q%i•8ar&iThYAed knthe SOFAvth¢n r¢¢*t15 prrtJabl•.thal 1$. h•$
bo¢n gr8ntolgr(*ote. •x•tsrtors hM•s1ablth￿th8tthtrn aro yJffc*nt ass
In the e¥lateaDd anyciffl¢th"on$JltBthed toth&lBgwaro ￿1￿11]he ¢ontrd
Grants an+J don4tlon•
Yes
L•04¢1•5
Yes
Gmrnm•nt grants
The h8¥1￿1￿19￿4￿rnOnl pèty￿d
Yes
13n r•teN¥knIEls intbJd•d in ￿tame￿￿en thefth a v8fwJ dedw8I0Th trtrf)) the
donor. kny wnoun1recov￿ed t￿ 8 dL¥)abon is ct4)sid8red lobe oltlwt
T•x rq¢thlrns M don•￿￿n%
Yes
No
dwartrth• t*ms tsith• ¥>poa h*è spetified cthtsyA9e.
This & [￿tyIn￿dId h th• StyFAth¢¢ *¢th*ty￿S￿￿IIdOd thefdaiod goodsor
8eTrte$u mei thePerfom￿e￿ ¢￿d￿0￿$.
Don&t￿pOo￿￿o￿ rnQaYJr￿ at (the th• a8seis)yJtd b•
•y&h8n￿l) ￿￿￿c21 todoso.
Th• ¢￿oISnY attsth ofiotojs dofithed l￿dIStr￿￿kn M bonalcl8rf•61s d•aM￿ to
b• th* ¥¥￿e tslthosb kyts ai the line Ofthelrrece￿ and ihey¥re r¢eognlsod•n
f¢ry￿. In ¢hq repothB P•rt￿j •1 tha siotksaia th￿￿￿ed. they we re￿wIled
AS8ry•wnse •tlhe ¢￿.D9 amounl ¥torks *. (fistrI￿C￿.
DOn*1￿100d$lthrr+1*￿*rÈ me8sured alfarv*J• on kn￿81 r8¢09nttknD. ISth•
•)PeLa*dpr￿•rf$ frcth s•knless theeypeded ￿￿5018*￿, rec￿n￿￿1
'In¢&me from tradng 8ttsbti&S' vlthth• ¢orrewmdn9 40(*f•¢4QNS•dln the
bd8nce sheèi On its ￿￿theV￿j00fO1f￿[Sthw9el 8g¥n*'inc<vTr• oth
traLlkng ￿01h• proce￿% m¢tynis•d is'lnccffle
otherlr4din9 ac*dAk¥.
Contra¢fv41 ID¢orn¢ 4nd perfrn•n¢•
r•lat•d grnntl
Yos
DOTh￿*￿ goods
Y•s
Y*$
No
Y•1
Goc*Ji It¢ use bylhe arn rgcwisod aslwwle fixed 8¥t¢ls
and thduded in the SoFAas r•styJri*s vkn•n rx•vabl•.
GrflS(Th forux byihe(*wny•rv kndwlpd SaFAlls blttyna
r•c•N414•.
Ye5
Yei
No
Dm8thd ser*•sJnd fa¢gl*k•SAre{nd￿d•d In th• SOFA*theh rèt*wed ai Ihe
olthe tyftio the bt m•a>fftdfaaNy.
Dcn8t•d MrK•s￿d 1è0St*$that we ryJnwm¢¢ reEJJw15ed as
Yes
YÈS
Nr•
hfra¢knokn the SOFA
Y05
Support Go•
The ¢Mrfty ha¥thurrwl wendluve on SUFPDrf tos
V•lunt••rh•lp
Th•vatu• olany vcknntsry hdpreteNedi8 no1￿m•j48￿ fft *e •xiur4$ bJ115
de5CTbtdlnthetrustees' repL)t
TN¥isinLILhled th the acc¢JJnt5 rv¢dpl l&prtthbl• ￿ th•am￿AtroC01¥*
n b•m•8SUféd relat4y.
In¢orn• Imm Int•rns¢ royalU•8 4nd
dlvk1ond8
Y¢$
es
Incomè from m•mb•Yshlp gub¥¢fiptlon8
Membershy *Jb4ofpUr•srecthted kn Iben￿re of¥ É4tw¢wgrthd kn DEfflakns
end Legarie¥.
V*mberthip wbsryPtM5vthlch ￿e5aM￿n￿er1ha rwjrtto buy semces w oth
bent&s rÈthJn&eda$fftctyrto e¥nedfrun the pThIS￿ ofgot>Js aThd
85 •i¢L￿e1[￿lI Ch￿Table 8Jidthes.
e$
Insurancediims4Jt indudÈd li the SoFAvthen the9￿￿•1 in¢thw rec¢)fftn
r¥nerfH are rnetl5.1010 5.12 FRS102 SORPI atwj nck¥Jed 8$ ￿ lem
inGrynein Ihg SOF
es
Setthm¢nt ol Insuran￿ ¢la*n5
Thlslnthtles ￿Yrea[h5erfor￿re￿$ed 98ins orknsses+M the $81e d￿Vestr￿*￿S
and ￿Y￿an ry I)s$￿SU￿g from iThv25knents bj Th3rketvalutral the tnd
of yeftr.
Yes
Inv•stm•nt gakns and h)sMs
2.3 EXPENDITURE AND LIABILITIES
Llablllty reCo￿ttl0￿
L#Jilbes 8rereo)wised*thereAis more Ikdythan th￿there1& alBgd or
Ye5
CC17alE>£¢O
12A)212026

construc*￿ COM￿￿n9 the (haAYwP￿￿l the ￿rAInI of
the0￿￿¥bOTh ￿ be rneaxyedwith reasoTrablB certaity.
Supptsrt LXJStshwe teefi alo¢4ted beiween govern￿ce ¢o#s Olh¢rwppLYt.
Govern*tè(y)sts tyjmprise c4st$ rv•otVilQ PL*J1C￿￿￿abwofthethafftY￿d
g rthipl4nce**h regthtion 8Trdgood pra(*rA.
GDvqrnaTrcp ind supporteosts
8upportC05ts rthrnlfvnclb)n5 and have W dbcatedto x5¥*c05t
on a bas￿ cOns￿e￿ thèus•0fre￿urttss. eg aks¢*ing woperty
¢0sts byfioorar•as. orpBrwila. Sta#¢￿$byth&11ti8 SPét)t ￿00th￿re0￿8￿Y
Ih*r ustye.
ere thi chaTty tanthnsftsrtsp8y7M￿ bekw atpeoficle¥al
seMc8 ¢y ouipuito be pl￿ded. gjcth orartsare ￿￿r￿￿onI￿d in theSoFA cf
Iher8*Ien¢0fth•grnn￿ h85 Pro￿0￿ tht spe)fi•d serric•orou¥)ul
Whue there ore no con¢fthnsatsctsg10lhe ryantthlt enabtesthe doTrcf d￿ri￿19
rfraSsiuty ihe ¢L￿mIme￿I. a theljllfvndng otw.cffj muslba
recoqnw.
Y6S
os
Granls wllh p•rfomwi¢•rondlllons
Grants payabl•wthhout perfofflianc•
condttlons
Ye$
R•dundm¢y ￿*t
Th• ctr4l*rnad• no r•thJndanw p•wTr•rtsdwng lh• r*>tybngptro
Ye5
No
D•l•rred InccTh*
o ofdelerfed kncLm)•hasbwn ifv*dedln the acaiuNg.
Yes
Cr•dltorn
The th8thih8s crethsvth*h areffleww8dai *s•nytr4d•
discojnts
A F8b*ty Is m•8gs•d r•coonlknn ai nshiacthal cosi and then wbsequenw
Th••¥vred 41 es*n#i¢ o1th¢ •mounlrryutred ￿ Sottte the 0t4iyl1￿ ai th•
r•pNbnq dat•
Y8&
Pr0¥1slon* f01 Il•bllll•*
Ye
No
e•sl¢ 1kn4n¢*l th•¢Nmthts
11.7 FRS102 SORP. SutywwntmoagMnf*4 Isas perpar8grWs
11.1710 11.19. FRS102 SORP.
Ye5
2.4 ASSETS
TangIbbl￿•d 4610ts foru6•ty eh4rlty
Thasè*t• upitalis•drflP*yufi b¢uMd y*. •ndeo* 8lleagt
Theyare Y￿ed 81 ¢¢41.
Yes
Thv deW¢daL￿ rBl•s and rMlhodsu58d aw• h nLrt•g.2.
Th• ¢harty h8s uManut4• fixed 8$s6t*thai Is. nc￿￿￿￿8ry£sBets donot hav•
phyEkai sub5t•Trté *r• wJ•nifi•bta 8fid 8recoThtrcthd by theth￿￿throuOh
￿J￿￿éY t•lty￿ rthl$. Thè om&￿&81¢￿1￿0S ￿d￿oI￿ods us•d •rn d*dos•d In
A￿t 9.5
Intan9lt*l• ￿x•d a¥8•t¥
Y••
es
Th•y•r•wlu•¢ •1 ¢0
H•r]iag• 18S•t8
sts•ntsfio l•thn¢b)glG•l. 9•ophys*4or•i¥irMffltsw w4J
mzkntskn•d princ*atylorl1￿eth1rb￿Nr￿lts kiiovi*tha• knd ojtturé. Th•
d•y￿￿Onf*•In0MeIhvd5 ITh n￿0 9.8.1.4.
Ye$
No
Y•8
Thtyw• ¥4tsJ•d•t ¢4W.
FL¥ed a¥sd qwled thares, tyodedbonds dmil¥ h¥eSIm￿lS ar
v•lued 81inldalyat CO& l￿d lub•*w￿￿•1 18tyvabA lth•trmark8lvabJ•l * th•
y•v ond. Th• samblrutn￿I 10 Urtlsi•dknY•Jimétlts Urt￿ f1*r￿bjts
r￿nn0rtse relHbtyln lll$ rneBsurqd al tost klst inparmLwi.
Inveslnenls heldfry re50* orpendknglh•r cath &nd cash éwwalenit
I Malu￿ dJleolkssth•n 1 ￿rat¢ tre*dw pj￿1 •¥Felln¥e5bneTrt
Inv•¥lrnenl¥
Y•$
Slocks and work In progf•SI
Ye
No
Gooosw seThlr*sWOVtd•d a5 Wt alllch•ltatlE *￿ty¥•￿0*y￿réd * ndf•8fisab
ebaRed on the 5eNt* potertlal wD¥kledty I￿50t￿r￿.
es
Woth In wogre5s15v8IW Atm51 IttS5wfOr•5•1￿1oIoSS that Islk* th•
Ye$
ND
D￿l0¢$fIndu¢jl)9tsade deb￿s and k)•)s r•c*¥8b181 we on rec4>anlkiTh ai Yo$
seidem￿l arno￿￿ 4fteranytrade 01￿￿nt Htr4anred tythe tharty.
Subsequ￿1￿. Ihey4ro rn￿5￿9￿ ¥ rlknwcon5ideralb)n eydedtvbe TErel￿d.
The thwtyhas ha51nv85kneDt5 rtbrAJslorres8* ￿ PEndkng thek¥le cash
Gosh eguN¥knts%4th a dale yw. These indude caÉh dvpostand
e4uNaèntS￿1h a m¥bJrtyd•* ofless ¥Meyearhell ￿￿7¥¢5￿meThI purpoB81
réthttthan lo meet th(rtiarn tash t£¥nrnthents a$thty f81 du•.
D•btorn
Yes
CuThent asset Inveslmmts
Thtyarè vatu•d *ifarvats* w¥dy as
POLICIES ADOPTED ADOMONAL TO
OR DIFFERENT FROM THOSE ABt)VE
CC17a (E￿￿>
12rt1212026

Section C
Notes to the accounts
(cont}
Note 3
Analysis of income
Restrkted
unrostrict￿ Ineam•
fund5
funds
Endowmertt
funds
Total funds
Prlor y￿r
Anal
Donations and ifts
Gift Aid
acies
General
rants provided b
overnmenuother
Membership subscriptions and sponsorships
Donated oods, facilities and services
Other
is
Donations and
legacies:
12,645
12.645
Total
12,645
12,645
Charltable actlvitles:
Other
Totsl
other trading
activitias:
Other
1.009.514
1,009.514
1,009,514
1 009,514
1,077,250
1.077.250
Total
Income from
inve8tment8:
Interest income
DNidend income
Rental and leasing income
Other
663
Total
663
Separate
material item of
income:
Total
Other:
Conversion of endowment funds into income
Gain on disposal of a tangible fixed asset
held for charit
s own use
Gain on disposal of a programme relaled
investmenl
Royalties from the exploitat￿n of intellectual
ro
hts
Other
Totsl
TOTAL INCOME
1.022.822
1,022,822
1,077,250
Other Informatlon..
All Income in the prior year was unrestricted except for: (please
Where any endowment lund Is converted Into income In the
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Where any endowment lund15 converted Into income In the prlor
Within the income items above the following items are material:
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Section C
Notes to the accounts
(cont)
Note 6
Analysis of expenditure
This ￿ar
Restrfcted
income
funds
Last year
Unrestricte
d funds
Endowmen
t funds
Unrestrlcte
Totsl funds d funds Totsl funds
Anals*i$
Expondlture on raising funds:
Incurred seeking donations
Incurred seekin
le
acies
Incurred seekin
rants
Operatin
membership schemes and social
Sta
in
fundraisin
events
Fudraisin
ents
Operalin
charit shops
eralin
a tradin
compan
undertakin
Advertisin
markelin
direct mail and
Start up costs In￿rred in
eneialin
new
Database develo
ment costs
Other tradin
activities
Investment mana
ement costs:
Portfolio mana
ement costs
Cost of oblainin
investment advice
Investment administration costs
Intellectual
ro
licencin
costs
Rent collection,
re
airs and
ro
Total expendlture on ralslng funds
Expenditure on charitable activities:
Expenditure
Staff costs
Depreciation
Total expendlture on charltable actlvltles
456,384
646.233
6.961
456,384
646,233
6,961
1,060,639
1,060,639
1,109,578
1,109,578
1,060,639
1.060,639
Separate material Item of expense
Total
Other
Total other expenditure
TOTAL EXPENDITURE
1,109.578
1,109,578
1.060.639
1,060.639
Other Informatlon:
Analysls of expendlture on charltsble actlvltles
Thls year
Grant
funding of
activities
Last year
Actlvltles
undertaken
directi
Activities
undertaken
directly
Support
Costs
Actlvlty or programme
Total this
year
Total last
year
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Activi
Activi
Other
Total
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Section C
Notes lo the accounts
(cont)
Noto 10
Details of certain items of expenditure
10.1 Fees for examination ofthe accounts
Ploas8 pmvidg detslls ol the amountpald fi)r any statutory external s¢rutiny olaccounts and
othersernces provided byyourindependent examiner. ff nothlng was paldplease enter V'ln
the appn)priate l)ox(es).
Thls year
Last year
Independent examlnerfs fees
Assurance servlces other than audlt or Independènl examination
Tax advlsory fees
Other fees (for example: financlal advlce, consultancy, accountsncy sorvlces) paid to th•
2.250
2,250
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Section C
Notes to the accounts
(cont)
Note 11
Pald employees
Please complete thAs note If the charity has any employees.
11.1 Staff Costs
This year
Last year
Salarles and wages
Soclal securlty costs
Pension costs (def ined contribution scheme)
Other employee benefits
600,780
37,522
7,931
575,747
32,895
13,567
Total staff costs
646,233
622,209
This year:
Pleas? provid• details of expenditure on staff worklng forthe charity whose
Last year:
Plea80 provido details of expendbture on staff worklng for thè charity whose
Please give details of the number of employees whose total employee benefits (excluding employer pension
costs) fell within each band of £10,000 from £60,000 upwards. If there are no such transactions. please enter
Yrue. In the box pmvlded.
No employees reeeivèd amploy&a b•n•fits (excludlng employer penslon
Band
Number of em
Thls year
loyees
Last year
£60,000 to £69,999
£70,000 to £79,999
£80,000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
31
29
This year
Last
•ar
Please provide the total amount paid to key management personnel (includes
trustees and senior management) for théir services to th• charity. For
speclflc amounts paid to trustses. see Nots 28.
40.000
34,853
11.2 Average head count in the year
This year
Number
Last year
Number
The parts of the charity in which the employees work
31
29
Total
31
29
11.3 Ex-gratla payments to employees and others (excluding trustees)
Please Complete if an ex-gratia payment Is made.
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Please explain the nature of the payment
This year
Last
ear
Please state the legal authorlty or reason for making
the payment
Thls year
Last
ear
This year
Last year
Please stat6 the amount of the payment (or value of any waiv•r of a right to
11.4 Redundancy payment8
Please complete if any redundancy or temiination payment Is made in the period.
his year
Last year
Total amount of payment
The nature of the payment (cash, asset etc.)
This year
Last year
The extent of redundancy fundlng at the balance shèèt date
Please state the accountlng policy for any r•dundancy or temination
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Section C
Notes to the accounts
{cont)
Note 14
Tanglble flxed assels
Please complete thls note If the charity has any tangible fixed assets
14.1 Cost or valuation
Freehold land &
buildings
Other land
PlanL
machlnery and
motor vehlclos
Flxture5. ffttlngs
and equipment
Total
bulldlngs
At the beginning of the year
Addits'ons
577.631
71,189
648,820
Revaluats'ons
Disposals
Transfers .
At end oftha year
577.631
71,189
648,820
14.2 Deprn¢iatlon and Impairmènts
-Ba818
SL or RB {Straight
Line or Reducing
Balanc8)
SLorRB
SLorRB
SLorRB
SLorRB
' Rate
At beginning of the year
Disposals
Depreciation
Impairment
Transfers.
Al end of the year
165,038
58,690
223.728
6,961
6,961
165.038
65,651
230,689
44.3 Net book valu•
Net book value at th8 beginning of the year
Net book value at the end of the year
412,593
412,593
12,499
5,538
425,092
418,131
14.4 Impairmènt
This year.. Pl&gso providé a descrlptlon of the events and
Last year Please provlde a des¢rlptlon of the events and
14.5 Revaluatlon
If an accountlng pollcy of revaluatlon Is adopted* please provlde..
the effectlve date of the revaluatlon
the name of Independent valuer, If applicable
the methods applied and signftficant assumptions
the Carrylng amount that would have been recognlsed had the assets
ThlB
ear
Lasl
oar
14.6 Other dlsclosures
This yoar
Last year
(IJ Please state the amount of bom)wlng eosts, Many. eapltalised in the constrnction
(Ilj Please provide the amount of contractual Commitments for the acquisldon of
(iiij Details of the existence and carrying amounts of property. plant
The Yransfèrs. mw is for movements b8lween fix8d asset categones.
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' Pleasè indicat8 the m&lhod of d8pr8ciation by deletsng the method not applicable (SL = straight I￿e.. RB = reducing balance). Also
pl6ase indicate the rate ofdepreciats"on.' f0rstra￿ht line. what is the anticipated life of thg asset (in years),. for reducing balanco, what
is the perGentsge annual d8duction.
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Section C
Notes to the accounts
Icontl
Note 19
Debtors and prnpaym8nts
Please complete thls note if the charity has any debtors orprépa
19.1 Analysis of debto
men
Thls year
Last year
Trade debtors
Prepayments and accrued Income
Other debtorg
250
250
32,736
51,737
Total
Please complete 19.2 where a materlal debtor ts recoverable more than a year after the
19.2 Analy81s of debtors recoverable In m¢xe than 1 year (Included in debtors abovo)
This year
Last year
Trade debtors
Prepayments and accrued Income
(Xher debtor8
Total
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Section C
Notes to the accounts
(cont)
Note 20
Creditors and accruals
Pléase complete this note if the charity has any creditors or accruals.
20.1 Analysis of creditors
Amounts falling due
within one year
This year
Last year
Amounts falling due after
rn0￿ than one year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
Trade creditors
Payments received on account for
contracts or performance-related grants
Accruals and deferred incom&
Taxation and social security
Other creditors
9,138
1,793
9,138
1,649
24.066
32.097
773.217
10.630
609.592
578
Total
20.2 Deferred income
Please complete this note if the charity has deferred
This year
Last year
Please explain the reasons why income
is deferred.
Movement in deferred income account
This year
Last year
Balance at the start of the reporting
period
Amounts added in current perlod
Amounts released to income from previou$ periods
Balance at the end of the reporting period
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12102r2026

CHARITY COMMISSION
FOR ENGLAND AND WALES
Independent examiner's report on the
accounts
Section A
Independent Examiner's Report
Report to the trusteesl
members of
Manchester Academy of Communlty Gymnastlc8 Ltd
On accounts for the year
ended
241h March 2025
Charity no
(If any)
1174633
Set out on pages
1 to 17
I report to the tru8tee8 on my examination of the accounts of the above
charity ("the Trust.) for the year ended 24 March 2025.
Responslbllities and
basis of rèport
As the charity's trustees, you are responslble for the preparation of the
accounts in accordance wlth the requirements of the Charities Ad 2011
("the Act").
I report in respect of my examlnatlon of the Trust's accounts carried out
under section 145 of the 2011 Act and in carrying out my examlnation, I
have followed all the applicable Dlrectlons glven by the Charity Commission
under section 145{5)(b) of the Act.
Independent The charlty's gross income exceeded £25,000 and l am quallfied to
examiner's statgment undertake the examlnatlon by being a qualified member of ICAEW.
I have completad my examlnatlon. I confirm that no materlal matters have
come to my attention in connectlon with the examination whlch glves me
cause to believe that In, any material respect:
the accountlng records were not kept In accordance with section 130
of the Charities Act; or
the accounts did not accord wlth the accounting records; or
the account8 did not comply with the applicable requlrement8
concerning the form and Gontent of accounts Set out in the Charitles
(Accounts and Reports) Regulations 2008 other than any requlrement
that the accounts give a 'tru8 and fair, view whlch is not a matter
considered as part of an indepand8nt examlnation,
I have no concerns and have come across no other matters In connection
with the examinatlon to which attentlon Should be drawn In thls report in
order to enable a proper understanding of the account8 to be reached.
Signed:
Date:
Name:
fL,
Relevant professional
qualification(s) or body
(if any):
ICAEW
IER
Oct 2018

Address:
Unit 212 Vanilla Factory
39 Fleet Street
Liverpool, L14AR
Section B
Disclosure
Only complete if the examiner needs to highlight material matters of concern
(see CC32, Independent examination of charity accounts: directions and
guidanGe for examiners).
Glve here brief details of
any items that the
examiner wishes to
dlsclose.
IER
Oct 2018