Ashfield Urwn FoDtbaN Limited
thwity 1176244
Trustees, Repwt and ￿￿UdIted A¢(￿nts
31 M¥th 2021

Ashfield Rugby Unlon Fooibau aub Lknited
Contents
Pages
2to3
Tru5tees' Annual Report
Independent Examiner's Report
Statement of Financial Activit*s
Summary Income and Expenditure Acc(MJnt
Balance Sheet
Statement of Cash flows
Notes to the Accounts
9t015
Detsiled Ststement of FinancÉal Acttvities
16to17
Page I

Ashfield Rugby Union Footbau aub L*nlted
Trustee5 Annual Report
The Trustees, who are also directors of the charity forthe purposes of the Companies Act 20)6,
present their report with the unaudited financial statements of the charity for the year ended 31
March 2021.
REFERENCE AND ADMINisfRATIVE DEfAILS
Company No. 04997948
Charity Na. 1176244
Reglstered Offte
120 Greenacres
Kirkby In Ashfield
Nottlnghamshire
NG17 7GF
Directors and Trustees
The Director5 of the charitable company are rts Trustees for the purposes of charity law.
The following Direttors and Trustees served during the year:
N.M. Cutts
B. tk)bb
D.R. Owen
M.A. Rees
E.H. Truswell
D. Wood
Company Secretsry
N.M. Cutts
Sunny Accountants knmited
65-67 Church Street
Sutton in Ashr￿Id
Notts
NG17 IFE
The Trustees are responsible for keeping proper accounting records that d￿k)se with reasonable accurary at
any time the financial position of the charity and to enable them to ensure that the financrdl statements
compty with the Compan*s Art 2￿6. The Trustees are also reswn&ble for safeguarding the assets ofthe
charity and hence taking reasonable steps for the prevention and detection of fraud and other irregularrties.
The above report has been prepared in accordance with the provisions applicable to companies subject to
the small companies regime as set out in Part 15 of the Companies Art 2(X)6 and in accordan￿ with the
Charities SORP IFRS 1021.
Signed on behalf of the board
Pa8e 2

Ashfield Rugby Union F￿tball aub limited
Trustees Annual Report
D.R. Owen
Trusiee
31 March 2021
Pa8e 3

Ashfiekl Rugby Unkyn Footb￿1 aub L￿￿tted
Independent Examiners Report
Independent Examiner's Report to the trustes of Adtheld Ru£by Union Foothai aub Limlted
I report to the charity trurtees on my examination of the accounts of Ashfield Rugby Union FootbaH Club
Limited for the year ended 31 March 2021 which comprise the Statement of Financial ActNities, the
Summary Income and Expenditure A<tount. the Balance Sheet the Ststement of Cash Flow5 and the related
notes.
Responslbllltles and basls of repwl
s the trustees of the charity land also its directors forthe pUr￿>se$ of company law} you are responsible for
the p￿ParatIOn of the accounts in accordan￿ with the requirements of the Companies Act 2(M)61'the 20C
Having satisfied myself that the accounts of the dhirity are not required to be audited under Part 16 of the
2L￿6 Act and are eligible for independent examination. I rewxt in respect of my examination of your
charity's accounts as Carr￿ out under sertk)n 145 of the Charrties Act 20111'the 2011 kt'l. In carrying out
my examinat￿n I have followed the Direction5 given bythe Chartty Commission under sectv)n 1451511bl of
the 2011kt.
Independenl exarniTher's statement
I have completed my examination. I can confirm that no material matters have come to my attentKin in
connection with the examination giving me cause to beI￿Ve that:
• accounting records were not kept in accordano with section 386 of the 2[￿16 Act: or
• the accounts do not accord wrth those records- or
the accounts do not comply with the accounting requlrements under sect#)n 396 of the 2(M)6 Art other
than any requirement that the accounts give a *nJe and fairf view which is not a matter considered a5
part of an independent examination- or
• the accounts have not been prepared ￿ accordance with the Charities SORP IFRS 102}.
I have no concerns and have come across no other matter5 in connection with the examination to which
attention should be drawn in this report in orderto enable a proper understanding of the accounts to be
reached.
Karl Watts
ACA
Sunny Accountsnts knmtted
65-67 Church Street
Sutton in Ashfield
Notts
NG17 IFE
31 March 2021
Page 4

Ashfleld Rugby Unlon Footb*l aub Umited
Statement of Finandal ArtI￿tieS
for the year ended 31 Marth 2021
funds Totsl funds Totsl funds
2021
2021
2010
Income and end¢>wments
from".
Donations and legacies
Charitable artivities
Inve5trnents
51.496
14.892
38
51,496
14.892
38
64.593
31.197
32
T¢Aal
66,426
66,426
95.822
Expenthure on:
Charitable activities
Other
1,920
6,111
1,920
6,111
29,975
16,242
Total
8.031
8.031
46,217
Net gains on investments
Net IKome
58,395
58,395
49,605
Transfers between funds
Net intomÈ beh)re other
gainslllossesl
58.395
49,605
Other gains and losses
Net mowment In funds
58,395
58.395
49.605
Reconclllatlon ot fuTh￿.
Total funds brou8ht forward
105,228
105.228
55,624
Total fund5 ￿ftled forward
163.623
163.623
105.229
PaEe 5

Aslffield Rugby Union Faotb￿l aub Umlted
Summary Income and Expendlture Acc4wnt
for the year ended 31 Mafth 2021
2021
2020
Income
66.388
95,790
Interest and investment income
38
32
Gr055 irKome for the year
Expenditu
66.426
95,822
6.954
45,144
Depreciètion and Cha￿e5 for
impairment offNed assets
1.077
1.073
Total expenditure for the year
Net income before tax for the year
8.031
46,217
58,395
49,605
Net Income for the year
58.395
49,605
Page 6

Ashfield Rugby Union F(X)t￿l aub limited
Balance Sheet
at 31 MaTth 2021
Company No. 04997948
Notes
2021
2020
Fixed a55ets
Tangible assets
6,102
6,102
6,082
6,082
Debtors
Cash at bank and in hand
li
210,989
40,294
251,283
18,7561
242,527
193,999
5.S73
199,572
18,7551
190,817
Creditors: Amount falling due within one year
Net current assets
12
Totsl assets le55 current liabllltles
248,629
1%,899
191,6701
105.228
Credit¢)rs: Amounts falling due after more than one year
Net assets exduding Pensi￿ asset or liabl￿ty
185,IX161
163,623
Totsl net assets
163,623
105,228
The funds ot the tharlty
Restrirted funds
Unrestrlcted fvnds
General fijnds
14
14
163.623
105,228
163,623
105.228
Resefves
14
Total fvnds
163,623
105,228
These accounts have been prepared tn accordance with the speaal provisions of Part 15 of the Companies
Act 2C(J6 relating to small companies.
For the year ended 31 March 2021 the CoM￿nY 74YaS enlitled to exemption under sectK)n 477 of the
Companies Act 21))6 relating to small companies.
The members have nrt required the company to obtain an audii in accordance wtth section 476 of the
Companies Act 2CM)6.
The dyectors acknowledEe thelr resp)nsIbilit￿$ for comptying with the requlrements of the Companies Act
21J)6 with respect to attounting record5 and the preparation of èccounts.
Approved by the board on 31 March 2021
And s8ned on its behalf by:
D.R. Owen
Trustee
31 March 2021
Page 7

Ashfield Rugby Union Football Oub Limlted
Notes to the Accounts
for the year ended 31 Marth 2021
l Accounting polld
Basis of preparatlon
The financial statements have been prepared in accordance wtth Accounting and Reporting by Charities-
Statement of Recommended Prattl￿ applicable to charities preparin8 their accounts in accordance with
the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS 1021 leffectNe I
January 20151- (Charities SORP IFRS 1021}, the Financial Reportin8 Standard applicable in the UK and
Republic of I￿land IFRS 1021 and the Companies Act 2CQ6.
Fund accountln8
Unrestricted funds These are available for use at the discretion of the tnjstees in furtherante of the
general ot4ects of the charity.
These are UnreStr￿ted funds eam)arked by the tru5tee5 for particukir purpose5.
These are unrestrKted fvnds which indude a revaluation reseTre rep￿sentIng the
reststement of investment assets at their market values.
These are available for use subjert to restrittiorts imposed by the donor or throu8h
terms of an appeal.
Designated fijnds
Revaluation fvnds
Restricted funds
Income
Recognition of
income
Income is included in the Statement of Finan¢i•l ActNit￿S ISOFAI when the charty
becomes entitled to. and virtually certain to receive, the income and the amount of
the income can be measured with suffKient reliability.
Income wfch related Where wKome has related expenditure the income and related expenditure is
expenditure
ported gross in the SOF
Donations and
legacies
Voluntsry income recep4ed by way of grants. donations and gifts is included in the
the SOFA when recerrfable and only when the Charity has unconditional
entitlement to the income.
Tax reclaims on
Income from tax retlaims is Included in the SOFA at the sarne time os the
donation5 and Bifts #iftldonation to which rt relates.
Donated seryices
These are only induded in income (with èn equivalent amount in expenditurel
and faciltties
where the benefft to the Charity is reasonab￿ quantifiable, measurable and
material.
Volunteer help
The value of any volunteer help receNed is not included in the accounts.
Investment income This is included in the accounts when receNable.
Gain5lllossesl on
Thi5 indudes any 8ain or10ss resulting from revaluing investments to market value
revaluation of fixed at the end of the year.
assets
Gainslllossesl on
investment assets
This indudes any 8ain or loss on the Sa￿ of investments.
Page 8

Ashfleld Rugby Unlon F(¥)tball aub Umlted
Notes to the Accounts
Expendilure
Recognition of
expenditure
Expenditure Is recognised on an accruals basis. Expendbture includes any VAT which
annot be fully recOve￿d. and is repcrfted as part of the expenditure to which it
relate&
Expendfture on
These comprise the costs ass<Kiated with attrarting voluntary income, fundraisin8
raising funds
trading costs and investment management cost&
Expenditure on
These comprise the costs incurred bythe Chartty in the delNery of tts artwities and
charitable artwities seryices in the fUrthernn￿ of its ofyects, ind￿lIng the making of grants and
governance cost&
All grant expenditure is accounted for on an actual paKI basis plus an accwal for
grants that have been approved bythe trustees at the end of the year but not yet
paid.
These include tl¥)5e costs associated with meeting the constFtutional and statutory
reqU1￿ments of the Charrty, including any aUdI￿1ndependent examination fees.
costs linked to the strategic management of the Charity. together with a Sha￿ of
other odministration costs.
Other expenditure These are support Costs not allocated to a partKular artNty.
Grants payable
Governance costs
Taxati(
The charity is exempt from corporation tsx on its charitable activi￿.
Tan8Fble fued assets and depreciath
Depreciation is pmvided atthe followin8 annual rates in order to write off each asset over its estimated
useful life:
Plant & machinery
15% Reducing
Trade and other debt
Trade and other debtors are recognised at the settlement amount due after any trade discount offered.
Prepayments are ¥a￿ed at the anThint P￿paId net of ary trade discounts due.
Cash and cash equlyalents
Cash and cash equivalents comprise cash at bank and on hand, demand deposits with bank5 and other
short-terni highly liquid investments with original maturities of three months or less and bank overdrafts.
In the ststement of financial position, bank overdrdfts are shovffl wtthin borrowings or current liabilities.
In the Statement of Cash Fkjws. cash and cash equwalent5 are shown net of bank overdrafts that are
repayable on demand and forni an integral part of the company's cash management.
Trade and other CTedltor5
Short term uedttors are measured at the transaction price. Other creditors and provtsions a￿ recognised
where the charity has a present oblEation resulting from a past erfent that will probably result in the
transfer of funds to a third party and the amount due to settle the obligation can be measured or
estimated re￿abty. Creditors and provisions are normalty recognised at their settlement ar￿Unt after
allowing for any trade discounts due.
Page 9

Asmleld Ru8by Union F(*)t￿l aub iirrmt
Notes to the Accounts
Penslon costs
The charity operates a defined contri1mrt￿n plan for its employees. A defined contribution plan 15 a
pension plan under b¥thich the company pays fixed contributThs into a separate entity. Once tl
contributions have been paid the Company has no ￿rther payments obligations. The contributions are
recognised as expenses when they fall due. Amounts not paid a￿ slb)wn in accrua15 in the balance sheet.
The assets of the plan are held Separately from the company in Independent￿ admiftistered funds.
Recelpt of donated goods, tddltties and 5eryKes
All donated goods. facilities and setvices received are reco8nised within incoming res¢)urces and
expendibjre at an e￿IMate of the value to the tharity.
2 Company status
The company is a private company limited by 8uarantee and consequentty doe5 not have share capital.
3 Statement of Flnancial Adivities- Pri￿ year
lunds Total funds
2020
2020
Donations and legacies
Charitable activities
64,593
31.197
32
64,593
31,197
32
Investments
Totsl
95.822
95,822
Expenqknire on:
Charitable activities
29.975
16,242
29.975
16,242
Other
Totsl
46.217
46,217
Net income
49.605
49.605
Net Income before other
galnsl(lossesl
Other galns and los
Net movement in funds
49,frf)5
49,f￿5
49,eiJ5
49,EQ5
Recond11atk￿ of funds:
Total funds brought forward
Totsl lunds Carried f¢xward
55.624
55.624
105,229
105,229
Page 10

Ashfield Rugby Unlon Foottmll aub Llmlted
Note5 to the Accounts
4 Income frcffi donatl*)ns and le8ades
Unrestrirted
Totsl
2021
Total
2020
Fund raising and d(￿ationS
Sponsorship
12.9(M)
38,596
51.496
12,9(KJ
38,5%
51.496
30.738
33.855
64,593
5 Income from tharitable aclivities
Unfestrlcted
Total
Total
2021
2020
Rugby training, match days
and tickets
14,892
14,892
31,197
14,892
14,892
31,197
6 Income from In¥estments
Unve5trirted
Total
Total
2021
2020
38
32
38
38
32
7 Expendlture on charitable arti
Totsl
Totsl
2021
2020
Expenditure on charitable
ortivities
Rugby trainin& match days
and t￿kets
1,1
1,180
29,575
740
740
Governance costs
1,920
1.920
29.975
Pa8e 11

Ashfield Rugby Fi)oth•ll aub Uftthed
Notes to the Accounts
8 Other expendlture
Total
Totsl
2020
2021
Premises costs
Amortisation. dep￿ciatIoN,
impairmen¢ profitlknss on
di5w)sal of r￿ed assets
Generdl administratNe costs
4.075
4,075
8.214
1.077
1,077
1.073
377
377
6.031
924
Legal and professional costs
582
582
6,111
6,111
16,242
9 Net Income before transfers
2021
2020
This is stated after charging:
Depreciation of owned ft¥ed assets
1,077
1,073
10 T¥n8ible fixed assets
Mant &
mathknery
Total
Cost or revaluatlon
At l April 2020
Additions
9,540
1,097
10,637
1,097
10,637
At 31 March 2021
Depreciation and
iMpaiTmeTrt
At l April 2020
Depreciation charge for the
year
3.458
3.458
1.077
1,077
At 31 March 2021
4.535
4,535
Net book values
At 31 March 2021
At 31 March 2020
11 Debtors
6,102
6,082
6,102
6,082
2021
2020
Other debtors
210.989
210.989
193,999
193,999
Page 12

Ashfield Rugby Football aub Undted
Notes to the Accounts
12 Creditor5:
amounts falling due within one year
2021
2020
Bank loans and overdrafts
Other creditors
Accruals and deferred income
6,664
1,731
360
8,755
1,731
361
8.756
13 Creditors:
amounts falliTra due after more than one year
2021
2020
Bank loans and overdrafts
85,C#J6
85,￿6
91,670
91,670
Liabiltties repayable in more than five years
after the balance sheet date
Amount repayable by instalments
58,350
58,350
65,014
65,014
14 Movement In funds
Incomlr
resources
(includin8
At31
Marth
2021
Resources
expended
At l Aprll 8ainsllosses
2020
Rewicted fi￿￿$.
Unrestricted funds:
General fund5
105.228
66.426
18.031}
163,623
Re￿luation Reserve5:
Total lunds
IS Analysis of net a55ets between funds
105,228
66,426
18,0311
163.623
fvnds
fvnds
Total
FFxed assets
6.102
249,191
6,102
242.527
Net current assets
C￿dItorS due in more than one year and
provisions
16,6641
{85.￿)
185,lJ)61
170.287
16.6641
163.623
Page 13

Ashlleld Rugby Football Umlted
Notes to the Accotsnts
16 Re¢w¢iliatlM ol net debt
At31
Atlwil
2020 Cash fl¢>ws
Marth
2021
Cash and cash equivalents
5.573
5.573
34,721
34,721
40,294
40,294
Bank loans
{98,3341
198,3341
(91,6701
191,6701
Net debt
192.7611
41.385
151,3761
17 Related party &isdosures
Controlling party
Pa8e 14

Ashfield RuEby Unlon Fotltball Oub Llmited
Detslled Statement of financial Aclx¥ities
for the year ended 31 Marth 2021
fufids Total funds Total funds
2021
2021
2020
Income and elld(v￿nts fruTr:
Donations and le8aues
Fund raising and donations
Sponsofship
12.
38,596
51,496
I2.￿0
38,596
51,496
30,738
33,855
64,593
Charttable artNTties
Rugby training, match days and
tickets
14.892
14,892
31,197
14,892
14,892
31,197
Investments
38
38
38
32
38
32
Total income and endowments
66,426
66,426
95,822
Expenthture ¢￿.
Charitable activities
Rugby trainin& match days and
tickets
1.1
1,180
29.575
740
1.920
740
1.920
400
29,975
Totsl of expendltwe ￿ tharitsble
artbVit•es
1.920
1.920
29.975
P￿rnISeS costs
Rent
I,5￿)
1.425
480
Rates
Li8ht, heat and power
Premises deaning
Premises insurances
Premises repairs and
maintenan
2.199
2.199
3.106
570
66
126
126
170
170
2,567
4.075
4,075
,214
General administratNe costs.
inclutling depreciation and
amortisation
Depreciation of Plant &
machinery
Subscriptions
1.077
1.077
1,073
377
377
6,031
7.104
1.454
1.454
Legal arbd professional costs
Accountanc¥ and bookkeepin8
582
582
924
Page 15

Ashfield Union F¢)otball aub limited
Detsiled Statement of Financial Acti¥itses
582
582
924
Total of eyndlturè of other costs
Totsl expenditure
Net gains on investments
6.111
6.111
16,242
8.031
8.031
46,217
Net income
58.395
58.395
49,605
Net Income before other
gain￿{lOSseS)
Other Gain5
58,395
58,395
49,605
Net movement In funds
58,395
58,395
49,605
Reconciliation of fund&"
Total funds brought fonldard
105,228
105,228
55,624
Total fvnd5 carried forw•rd
163.623
163.623
105,229
Page 16