REGISTERED COMPANY NUMBER.. 08867706 IEngland and Wales)
REGISTERED CHARITY NUMBER: 1179555
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
FOR
MENTER IAITH BRO MORGANNWG
MHA
Elfed House
Oak Tree Court
Cardiff Gale Business Pa
CARDIFF
CF23 8RS

MENTER LAITH BRO MORGANNWG
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
Page
Report ofthè Trustse$
1 10 4
Indepèrtdent Examinerfs Report
ststem•nt of Finaneial Activities
Balan¢e She•t
Notss to thg Flnan¢lal Stst¥ments
8 to 14

MENTER lA￿H BRO MORGANNWG
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
The tnjstees, who are 8150 dir8Ctor5 of the chartty for the purpos85 of the Companles Act 2006. present their report with
th8 financial slatements of the tharity for the year ended 31 Ma￿h 2024. The truste15 have adopted the prowisions of
Accwnting and Reporting by Charities.. Statement of Recomrnended Practice applicablg lo charit6es preparing Iheir
accounts In a￿rdance with the Financial Reporting Standard applicable in the UK and Republic ol Ireland (FRS 102}
leffedve 1 January 20191.
Obj•etSv8s and alms
The object of th8 charfty is to boost commvnlty education and g•n8rdl inforrnatlon by promotlng the Welsh language.
AMBITION
The Welsh languag8 bècomiThJ 8 centrd part oflwe in the V¥lo of Glamorgan.
MISSION STATEMENT
To promote and exp8nd Ihe sockql use of the Welsh language in the Vafe of GIan￿rgan.
M8nter 18ilh Bro Morgannwg supports th8 WeL8h GoYemmenV5 V15ion of one million W4￿h sp88kers by 2050 and Ihe
V8k of Glamorgan Council'5 Strategy of Increastng the number gf speakers.
Our work supptrts the W8N-bein9 of Future Generalk?ns (Wales) Ad 2015 In ¢￿S￿ng a Wales that we 81 want to live In,
now and In th6 future. Central to our ambition is to See the Vale of Glamorgan as a pbce ol vibrant culture in whlch the
Welsh18nguag8 thrives logether with a society th8t promotes and protects our cultu￿, herftago and ￿ngUage.
Each one of as partners, lunders, stskeholders. volunleers and utizen$ of the Vale, has an tmportant contrlbution to
make in ac*i8ving this.
STFiATEGIC AIMS
- Creating opportunities lo use Welsh in our comrnunilgs.
In¢￿8$ing awareness and improving attthde5 towards the Webh languag8.
Increasing confidence io use the Welsh langu8ge sodally.
Devek)ping ernployment aNJ training OPFM)rtunities lor young people and 8dvll$ through Ihe mediurn of WeL8h.
- Org8nising a festival to ￿lebrate th8 Welsh language anil ojtture.
- Ensuriw that Menter laith Bro Morgannwg has an effectlve digital platform.
- Wothin9 in partnetship wilh variw¥ bodies ant1 oryènisation5
A¢tlon arna$
Menter laith Bro Morg8nnwg wlll be a¢tThig in th8 8rgas assoclated wllh th& Vlg of Glam¢)Tgan Cotsnols Local StrategÈs
an¢J thtr National Slrategies olthe Welth G0￿Mment.
Strategy Area 1 THE FAMILY
Strategy Area 2 CHILDREN AND YOUNG PEOPLE
Strategy Area 3 THE COMMUNITY
Strategy Area 4 ADULTS
stratsgy 5 GWYL FACH Y FRO
K•y porformance Indl¢ator6
Menter 1811h Bro Morgannwg% Board ha5 agreed on a numbor of Key Pgrforrnance Indlcator5 which will help us to
understand lo what degr08 we ar8 succeeding In luffilling our objectives. We continue to monitor and s¢wlinBe pro9￿8$
by collecting and re￿twing d818 regularfy on ihe numbers 8ttandinglpaFti¢ipating in actiwti8s ufjder Menler lath Bro
Morgannwg's administration.
Pub14c benefrt
The trustee$ have had due reg8rd to lh8 Charty ComrnL8sbns Q￿dance On public benefft.
The entire wort of Mentèr laith Bro Morgannwg is designed for the benefft of the publle. The prin¢ipal object is to
promote the use of th¢ Welsh language in the Va18 of Gl8morgan. This is donè by arranging and proMo￿n9 activilles
and events which are open to the public. The acllvities and gvenls provlde an opportunity lor people of all ages to
socialige and enjoy themselves in a friendly environment. whilst increasing the v5e of the Welsh language. The seTrico
is publicised and new peoplg qncouraged to take parL Th•ra 1$ an incr¢8&ng demand for tha proviswjn fmm thè
publi¢ in all parts of Iho county.
&)me of the activftlès are free ané when there is a ngod to charge the Costs are kept 8$ bw as possible to encwrage
comrnunlty engagern¢nt.
Page 1

MENTER IAITH BRO MORGANNWG
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
Volunteers
Thanks go to the amiy of vOlUnts8￿ who $eThe on Menter laith Bro Morgannwg B04rd and who work OTh Our numerovs
pro1￿1$.
OBJECTIVES AND ACTIVrnES
ChÈrMablt a¢tlvltie8
Menter laith 6ro Morgannwg proMd95 a wKle rango of sarvic88 through tho meth'um of Welsh across The V8kg of
Glamorgan.
outNne of thg work can be sg¢n on Menter laith Bro MOrgann￿'S website
www.menterbromoryannwg.cymru
We succeeded In receiving lundin9 from The V210 of Glamorgan Coun￿1 thrwgh the Framgwoth agreamlnt. We also
eived fundiNJ tOW8r(Is ourservi¢es from thè W£Lsh Govemmont, tlw Arts Council of Wales and Barry Council.
Havlng held sorne most of our adSMtles online during the Covld periool we have o)ntlnued to off8r some aGtivttles online
in rec8nt yaar5 due ¢0 thalr popularity. Th88e have Ir￿luded adu￿ aduCa￿On courses and ona-off talks.
The maln part of our prov15ion Is Ihe dellvery of actwthes targeted at young famili8$ and children of Primary school age.
These Include a serfès tsf weekly storytelling se55ion5 for pre-$¢hool chil¢Jran. Aso OUT efforts ar• focvs8d on dellvering
open a￿e$S ￿0Y stS5ions across Ihe Vale during holiday periods.
A crilical el&ment lor us 1$ to en$ure that P80pkn of all agas have opportun#i6s lo uss th8lr Welsh on a soc181 kvel.
outside the dasswmlwork, as well &$ a chance to develop new sk#l$. meet new Pe￿Ie enjoy new experiencas.
Again this year, the partnership bgtween Menter lailh Bro Morgannwy and the Sports Department of Urdd Gobaith
Cymru conunued allowlng u5 tg ollera range of aftèr school SPOFts club5 forchildren.
FINANCIAL REVJEW
Flnanclal position
The charity had incorne for the year of t137.120 and expendlture of £153.137 whth iesutted In a net deficit p0511ion of
£16,017.
At 31 Ma￿h 2024, thero was cash at bank of £19.556 and net assets of £34,285. Menter laith Bro Morgannwg has an
over811 ¢reditor balanee ￿th M8nt8r C8erdydd of £2,236, wh) wlll ¢onllnue to support Menter lalth Bro Morgannw9.
Due to slandslill grants and increased eosts the charity (s anticipa￿ng a fijrther deficlt In 2024125. A cost euttiFVJ
Èxereise has b88n undertaken. IncludSng a r8ductson lo W0￿{n9 hour5. Opb'ons for additional fvnd raisir¥J a￿ ￿Stt baing
eonsidered.
The current level of ￿ServeS, woujd alkjw the charity to conts'nue for at least 12 months from Ihe date of approval of
these financial statements wthout any of the m8a5UT8S nolgd above. as a r8sult thg tnJst8es are satsfiod that the
finanr431 stslements should b? prepared C￿ a going con¢¢rn basis.
PrIn¢l￿1 fundlng sour¢o9
Menter Isith Bro Morgannwg is grattsfvl to the Welsh Govemment, The Vale of Glamorgan Coun￿1 and other sponsors
for their continued financlal 5UPPOrt to M8nter lailh Bro Mtsrgannwg's activities. Details can b8 seen in th8 [￿S to Ihe
arxounts.
Rgs•ms pollcy
The trustees havè con¥idered the needs of the charity for financial r858rv8s in aC￿rdanCe tho gvidolina¥ given by
the Charity Commlsslon and havo adopt8d thg folk)vlrvJ polklas:
The nètd for a reserve lunds Ls..
1. 81 To have money to e&mi8rk for spedal prlects In or*er to devebp them or realise them befo￿ hjnding is receNed
andlor due to a funding lag at the beginning of a new financial year.,
bl To ensure that rnoney 15 availab￿ for administration and support costs which enab￿ the chartty to opèr8te especially
during ￿riodS of un¢erfalnty that could have an enorny)us Imp8EI on the In￿rne generation opporturtty of the charity, 88
well 8S 8ddthonal pressures on fulure grants. This r8serv8 level also tskes into aeL*vnt period$ a¢ Ihe begInrI￿9 of
new finanual year.
The cvThent pc41cy ofthe trust￿ is the finarrial reserve should equata to £18.000 to £25.000.
Currenyy the ch8ity has £34.190 fre8 r8seNe$ and thtr tru$tee5 are worklng to malntain thè rès8N818V81 In line the
poI￿y.
Paga 2

MENTER lA￿H 8RO MORGANNWG
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
FUTURE PLANS
The Bo8rd and staff 8t M8nler lailh Bro Morgannwg have ¥wrked brel￿slY through(￿rt, collaborotlng wth colleagues
from other organisalions a¢ross Wales lo en8ure that Welsh langvag8 social opportunit￿$ have continued lo be
delivered and enjoyed. Wg wll continue tts develop the engagem8nt provision for tlder1è8mw5 Ihrou9h d lunding from
the Heritage Lottery.
Mtntér lailh Bro Morgannwg is committed to ensuring that our woJk conJnues to r8flecl the needs of th& diverse Welsh
CDmrnunilies right aeross Tha Vale especially as w8 ernerge from the pandemic. We will need to continue to c*alk8n99
areas of expendlturè in order ¢0 driv8 down costs 8s w911 as kjoking for new 50ur¢8s of Incom&.
We have been realisti¢ in recognlsing that we face a challenging 8conomic period golng forward. but by continuiro to
Innovate, working collaboratNety wth partners from the third sector. the publlc sector and the private sector we a
confident that we can contlnue to furril the obJeclSves Sn our Corporate Plan 12022-251 and that our services have a
05￿ve impact on the Welsh languag8 in The Vale ol Glarnorgan, Indudlng-
- Creating ppportunits'es to usè WeL8h in our cornrnunthes
Int￿aS1n9 awaren8S5 and impfoving attitudes towards the Wèlsh language
Increasing Confidenc8 to use the Welsh L8nguage soclaljy
Developlng employment and trainlng opporiunilies lor young peopb and adults through tha medlum of WeL8h
- Organislng a festival to celebrate the Welsh language and culture
- Ensuring that Menter Bro M¢)rgannwg has an effective digital plarfomi
- Worknng *n partnershlp various bodles and oo8nlsatlons
By (x)nC￿tra1.n9 on th$s8 main priorilles Menl8r laith Bro Morgannwg ￿11 play 8 key role Sn the work of promtiting the
Welsh language in The V818 and will Support th8 dejivery and signposting of the main Strat8g￿ priortlies ol thg Welsh
Goveinment of reaching 8 mllllon Welsh speakers by 2050, and Th? V81e of Glamorgan Council's strategy ol Increa￿ng
the numbor ofwelsh speakers.
Momng fO￿ards, we alm to fuwthtr develop G¥W Fach y Fro as a Celebration of ihe Welsh language and cutture in thE
V818. We will also ￿ntinUe to offer opportunltles thTOLSgh our digital offer for 8dults. The prmary focu5 wll r8maln on the
delivery for children, thus creating so¢ial opportunitses in Welsh outside thè sthool day 8T￿ we wlll work ¢losety with
other organisatlons in order 9rnpower others In th8ir ¢ornmthent to the Welsh language.
STrUCTURE. GOVERNANCE AND MANAGEMENT
Go¥omSng docurn•nt
The char4ty 15 govemed by ils Mernorandum and Artlcles of AssrKiation and constitutès a company limited by guarantee,
as dèfinpd by the Ccrnpanles Act 2006.
Recrultm?nt and appolntm8nt of new trJJstee8
Th8 Board ol Trust¢65 ar8 elected on an annual basis by the mornb8￿ of the Charitab￿ compary at th8 Annual General
Aeellng. InvilatEons for ngminations of n8W trustees a￿ sent to all rnembers wth noti￿ ol the proposed Annual Genernl
Meeting. and nornin8tions are aceepted up to seven days tefore the dale of the mseting. Proposed twstees sty requir8(1
to be nomina18d by different member8 of the eharitablo company before theirnomin8tion can be conside￿d.
Organlsational stru¢tuYe
Menler laith Bro Morgannwg's Chief Execulv8 is r8$ponsil)le for the day to day running ol the organisatbon and all slaff
and financlal needs of Ihe organisation. The Board meets up to 5 times per year and the CEO 8tt6nd5 all meetings and
presents a w￿￿on and fomal presènlation of the Serv1￿ delw8ry of the organi6atk)n to d8te. Every a8pecl of
govemaneè and fin8n¢e are dlsoussed durin9 every board meelirva.
Pollclo$ and procgdur•$ for the Inductlon and training of trust••J
Wo recognise that Ihe work that trusiees ¢Jo is Invaluab￿ io the organlsation. and that g*xJd govemance is a vital part of
how we as an organi5ation operale and aTe held 8¢countable for what we do. Menter lalth Bro Morgannwg currently
holds a third sector Trusted Ch8rFty quality 8ssuran¢e mark and we will look to renew thls in the next financtal year. Th¢s
prograrnfne will provtde the structur8 and framework 10 ensure Ihat Trustees are provid8d wlh the SUPPOrt and
le8der5hip Ihat they need in order to conduct their dutle$ as Trustses to the best of their abilities and that Inductson and
training is at the forefront ol our support to thgm.
K•y managèment remuneratlgn
Thls is discussed bwthin the Personnel sub-¢ommltt8e that meet pw year to discttss and make decislons on any
remuneraloon Issues withn the organi58t*?n. The Chair and Cornpany SecrelarylCEO ara key n￿MberS of this
committee.
Page 3

MENTER IAITH BRO MORGANNWG
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 MARCH 2024
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Company number
08867706 (Eroland and Wa1è51
Règlster*d Chaffty number
1179555
R•glst•r•d 0ffi¢g
Yi Hon Lyfrgell
Trinity Street
Cardtff
County of C8rdiff
CF10 1BH
Tru$t•es
A L Brown
L W Gapper
D L Griffith
L G G¥tgg
GPHuws
GRScott
R W Dafydd
G Edw8rds
Co-optsd to th• Board..
NM6n
S Clubb
Company S•¢r•tary
H Rees
Ind•￿nd•￿t Examlmr
Julia Morbmer FCCA
MHA ItradSng name of Maclntyrg Hudson LLP}
Limited li8bih.ly partnership in England & Wales
R99L8le￿d numbpr OC312313
Eved House
Oak Tree Court
Cardlff G8te Business Park
CARDIFF
CF23 8RS
Approved by order ol th8 Board of Truste￿ on ...........
2024-
.. and slgned on ts behalf by..
A L Brown- Truslee
Pag• 4

INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF
MENTER IAITH BRO MORGANNWG
Indepgnd•nt gxamln•fs r•port to the trusteès of Monter lalth Bro Morgannwg Cthe Compan
I report to the charity truslee5 on my examlnalion of the a￿9￿nIS of the Company for the year ended 31 Marth 2024.
Responslblllt￿s #nd b8815 of ￿pOrt
As the charity's trvst8e5 of Ihe Company land abo ils dlrectors for the pury)oses of company lawl you are Tesponsible for
tho preparation ofth8 a¢counts In aecordance the requir8rnents of Ihe Compan￿5 Act 20&8 Ilhe 2Q06 AeVI.
HavtThJ satisfied myseff that the AcrDtJnts of the Company 8re not re4ulred to be 8udit8d under Part 16 of lh8 2006
and are eligib￿ for Independent 8xaminalion. I IBport in respect of my oxamination of your charity5 aceounts as carrièd
gul under sècts.on 145 of the Charities Act 2011 I'the 2011 ACYI. In earying out my exam¢nallon I have foNowed th8
Direcllons glvèn by Ihe Charty Commission under Sectbn 145151 Ib} of th8 2011 Ad.
Indopènd•nl examlnerfs $tatemtnt
I have completed my examlnation. I Confi￿ that no matters have wme to my 8tt8ntion In c¢x)neclknn with the
8X8rnlnatlon givlng rne cause to bellev8'.
acwunth.ng reco￿$ w8rg not kept in rospect of Ihg Company as required by Section 386 of the 2C#]6 Act,. or
the accounts not 8¢cord wlth those rocords., or
the accounts do not ¢Dmpty with the a￿ount4ng I￿￿[Temen(* ol seC￿On 398 of thè 2006 Act other Ihan any
requirement that the accounts &¥vo 8 true and fair vk8w whkh Is not a matter ￿sIdered as p8rt of an
ind8pend8nt examination., or
the a¢coun$ have not bean prepared kn accordan¢9 with the methods and prinriples of the Statement of
Recornmended Practice lor accounlng and ¥eporting by ¢haritias (applicable to ¢harfties prepartng thair accounts
In ac￿rdanCe wlih th? Finanrial Rep￿ Stsnd8rd appllcable In the UK and Republk of Ireland IFRS 10211.
I have no ¢oncems and have come a¢￿$$ no other matters In Gonneclion wilh the examlnation to whieh attendon shoul
b• drawn in this report in order to enablè a PrO￿r understandtrng of the accwnls to bo r8ached.
Juli3 Mortlmer FCCA
MHA Itrading narne ol Maclntyre Hudson LLPI
Limited liability partnership in England & Wale5
Registered numbor OC312313
Elfed House
Oak Tree Court
Cardrff Gate 8uslnes$ Park
CARDIFF
CF23 8RS
Page 5

MENTER IAITH BRO MORGANNWG
STATEMENT OF FINANCIAL ACTMTIES
IINCORPORAnNG AN INCOME AND EXPEND￿uRE ACCOUNT)
FOR 7HE YEAR ENDED 31 MARCH 2024
2024
Totsl
funds
2023
Total
funds
Urwestrthd
Thj
Re$trE¢igd
funds
Notes
INCOME AND ENDOWMENTS FROM
Donal"ons and legaeies
54.072
73,986
128.058
148.905
Charltable actlvltle8
Enhancernent of communlty education and
ggngral information by promoting Wefsh
language
11,869
Total
63.134
137120
158574
EXPENDITURE ON
Charitable acti¥itit$
Enhancèment tsfcornmunity educth.on and
gèneral infonnation by promotlng Welsh
18nguag8
79,151
153.137
157,598
NET INCOMEIIEXPENDITUREI
116,0171
116.0171
976
RECONCILIATION OF FUNDS
Tolal fvnds brought fo￿ard
50.302
50.302
49.326
TOTAL FUNDS CARRIED FORWARD
The notes fomi part of these flnanual statements
Page 6

MENTER IAITH BRO MORGANNWG
BALANCE SHEET
31 MARCH 2024
2024
Total
funds
2023
Totsl
funds
Unr8Strictod
fund
Restrict6d
funds
Notes
FIXED ASSETS
TarvJlbJe assets
95
285
CURRENT ASSETS
Dobtors
Cash 81 bank and In hand
12
3.173
32.409
35.582
19.556
34,162
37,241
44,288
10.850
55,138
71,403
CREDITORS
Arnounts f8Ning due ￿1h1n on8 ￿ar
13
110.098}
110,8501
120.9481
121,3881
NET CURRENT AS8Ers
TOTAL ASSETS LESS CURRENT LIA81LITIES
34,285
34,285
50,302
NET ASSETS
34,285
50,302
FUNDS
Unr8Stri¢ted funds
14
50.302
TOTALFUNDS
The charitable company i8 enltled to èX8mption from aud*t undor SoCth?n 477 of thg Companias Act 2006 for tha yaar
ènded 31 March 2024.
Th8 rnembers have not requir8d th8 company to obtain an audit of its fi￿nd￿l staternènt$ for the year ended
31 March 2024 in accordance with Section 476 of the Cornpanie8 Act 2006.
The twstaes acknowledg? Ihelr responslbllmeg for
lal
ensuring that the charitable company keep8 aco)unting records that compjy wth Secbons 386 and 387 01 Ihe
Companies Act 2006 and
preparing financial statements which give a true and fair view of Ihe $tate of affairs of lh8 chaFit8ble company
at the end ot ea¢h financial year and of Its surplus or deficit for each financSal year In 8cwrd8nce with the
reqV1￿MentS of Sections 394 and 395 and which otherwise comply with Ihe reouifyrn8nts ol the Companigs Act
2006 relating to financial stslements, so faras aP￿1¢8t4e to the (*aritablg ¢ompany.
These finanelal statements have been prepared in aw)rdan¢e wth the provisions aPplIcab￿ to chaThabl& comp8n189
subjeGI to the small Companies wlme.
Ibl
Th8 finanoa
slatemtrnt5 were approved by BDar(l of Trust•aS 8rMI authorisgd for Issug on
- and w8re signed on Ks beh&W by=
A L Brown- Trustee
The notes fonn part of these finanri81 statemenls
Page 7

MENTER IAITH BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2024
STATvfoRY INFORMATION
Menter la¢th Bro Morgannwg Is a registered ¢hanty and prfvate company limited by guarantee, with no sharo
eAPital. It 15 in¢orporated in Wale5 in Ihe United Kingdom. Th8 fe9lSter8d off￿e is Yr Hen Lyfrgell, Trinity St￿¢t.
Cardrff. WaleB. CF10 1BH.
The finan¢lal statam8nt5 are presented In St¥rting (£1, the chaiitys funcbonal Djrrèncy. and Tounde(I to the
ngaT6St pound.
The princlpal actiwties and nature of tharlvs operallons is to Create oP￿rtunIt￿$ for Welsh speakers to use
the language by suppoth'ng the present Welsh knguage activit18s and to 8ncourage and promot& a c¢)mmunty
own8rship of the Welsh language.
Th8 significant aGcounting policies applied Sn the preparalK)n of these financial statements arg 8et out below.
These policl8s havè b88n consistendy applied to all years presented un￿$ otherwise 51ated.
ACCOUNTING POLICIES
Bas4s of pr•parlng th¢ ffnanelal statom¢nts
Thè financial statements of the charity, which is a p￿bItt banerrt enlity under FRS 102. have been prepared In
acujrdance wth the Chariti88 SORP IFRS 102} Accounting and Rep¢Ybng by Ch8rit18s'. Stalernent of
Re¢ommended Practice appllcable lo charftles preparing their accounts In accordance with the Financial
Reporting Standarrl applic8N8 in the UK and Republic of Ireland IFRS 102 S1A Update Bulletin 11 leff8Ctiv8 1
January 20191,, Financial Rpportir*9 Standar(1 102 'The Financial Reporting Standard 8pplicable in the UK and
Republic of Ireland, and the Compani8s A¢t 2006. The finanaal sta18rnent5 have been propar8d under Ihg
historical cost convenlbn.
Thgre have been ￿ material departures from Ihe standa￿.
PrepJrallon of the accounts on a yolng concern ba55s
Due to slandslill grants and increased c￿$1$ tho tharity B anticipating a further deficit in 2024125. A cost cutting
exercise has be8n undertaken. induding a reduction to working hours. Options for addttional fund raislng are
also being cortsidered.
The current level of reseNes. would 811ow the charity to continu8 for at 12 months from thfr dat$ of approv81
of these financlal statements wilhoul any of the measures noted al)ove, as a result the trustees are sobsfied that
the financial statements should be p￿Pared on a going concern basi8.
Incomo
All Income 15 recognised in Ihe Staton￿nI ol Financial Actlv5tles onca tho charlty has gnutlement kn tho fur￿5, Ills
probab18 that the in¢ome ￿11 be mes￿d and the amount can be measured reliably.
DorEoVon$ and 199a¢l•s lftcomg
Donations and ￿g&eAt$ income includes donations, gift5 and grants that wovide core funding or are ol a g8neral
nature and is recogni58d whore there Ss entilèm8nt, probability ol re(elpt and the amount can be measured wth
SuirK￿nt ro15ability. Such income is only deferred when Ihe donor specifie5 it must be used in future accountlng
periods oi ihe donor has imposed conditions whith mu$l be met before the charity has unconditional en￿￿e[￿enL
In¢orne frgm charitsbh activities
Income from charitable acuvltigs indudes incom8 received und8r contrad or where ent￿ement to granllundiry is
Subject to Spetsfic perfornian￿ CondIt￿)n$. Th[8 irtcin8 is recognised a$ the relate<l services ar8 promded and
there Is entl￿eMent, probability of receipl and the amount can be measured wth suffioenl r81iability. Income is
deferred whgn thg amounts recewed are in advance ol the perfomiance ol the s9￿1c¢ or event to which Ihey
relate.
Expenditur•
Liabililes are roeognisèd a5 expendlture as soon as there is a legal or constfuctive obligation commRting the
eharity to that expenditure. it Is Pfobable that a transfer of economic b¢nefts will b8 required in sewement and
the arnount of the obllgatkjn rAn L* meo8ured reliably. Expondltura is accounted for on an 8¢cruals basis and
has beèrn cEa8sDled uThSer headlrtgs th81 aggregate all cost related to the category. Where cosls eannot bo
dir8Ctly attributed tts partIc￿lar h8ading3 they have been albcated io activitigs on a basis ￿)nSistent with ihe uge
of resourcos. Eynditur8 indudes ary VAT whlch c8nrrf)t be ful￿ recovered and is re￿rted as p8rt of the
expendiiure to whith rt ra18tes.
Pago 8
nJnu8d...

MENTER IAITH BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS- ¢ontlnued
FOR THE YEAR ENDED 31 MARCH 2024
ACCOUNTING POUCIES- cgntlnu•d
Expendltu
Charitable expenditure comprises those costs incurred by th8 charity In th6 d8llv8ry of its aetfvitles 8nd seNices
lor Ils beneficiaries. It includes both costs that can be allorAted directly to such 8¢tivilies and those costs of an
ndlrect nature necessary to 5UPPOrt Ihem.
Support costs are those costs thal, whi15t necessary to dalNer an acllvSty, do not th8msefves produc8 or
con5kn'fv18 the output of th8 charitabl& actwity. This inclLKles govèm8nce costs whlth are those costs a5swiated
with meets'ng the ctsn5blutional and statutory requirements ol the charity and includ8 Ihe accountancy fees and
osts linked to th8 5tr8tegic management of Ihe chaiity as well as a prOpo￿n of Salaries bttsed an
approxlmauon of Ilme spent In thls ar8a.
Tangible fixed a$601s
Fixed ttss8ts are capitslised at cost.
Depr8¢iaUon is c8lculat8d so as to wwite off Ihe cost of an a5S8t. less Its estimated residual value, over tho
vseful tsfe of that asset as follows..
Computer equiprnent
- 25% stralght linè
TaxatEon
The charity is exempt from corpoTatSon tax on its charitable a￿￿t￿$.
Fund a¢¢ountlng
Unre$tri¢ied funds can be used In accordance with the thorItab￿ objectives at the dll8cretKJn of the trth5tees.
Restri¢te41 lund5 can onty be used for parucular restriotgd Pufwses within the objects of the charity. ReStriCt￿n$
adse when specified by the donor or when funds ère ratsed for partkular re5trKted p￿￿oSe5.
Furthèr e¥planatlon olthè nature and purpose of •ath fund ¢5 induded in the notes to thè fia8ncial statements.
Flnan¢kl Inst¥urnonis
The charity onty h83 financial assets and financial liabilities of a kirKI Ihal qualify as a basic financial
instwments. Basic financial Instruments are sni￿allY recognised al transactH)n value and Subsequenly rneasured
at thelr setttoment value.
DobtOTS
Trdd8 debtors and othtrd8btors are re¢ognt$8d at the settlemont arnount due afterany tradè discounts offgred.
Prepayrnent a￿ valued at the arnount prepaKI n?t of any trade discwnts due.
Credltors
¢￿ditorS ar8 r8cognised W￿re thè charity has a present oblioalion resLtlting from a past event that will probabty
sutt In the transfer of fun¢J5 to 8 Ihird paity and the amount due to seitte obligation can b8 measured or
85timated relSabty.
DONATIONS AND LEGACIES
2024
2023
DonaJons
Grants
671
127,387
1,455
145 450
128.058
146,905
Page 9
conlnuod...

MENTER lA￿H BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS- continuod
FOR THE YEAR ENDED 31 MARCH 2024
DONATIONS AND LEGACIES- ¢ontSnu•d
Grants receiv8d, includ8d in the above, 8rs $5 follows..
2024
2023
Ltywodraeth Cyrnru- Grant Adran Cymraeg 2050
Cyn9or Celfyddydau Cymru- G￿1 Fach Y Fro
Cyngor Bro Morgannwg- Granl Fframwailh CyTrraeg
Cronfa Gymunedol y Lo18ri Genedlaethol- GFYF
Mentrau latth Cyrn
Cyngor Bro Morg8nnwg- Hafo Hh
Cynwr Trefy Barri
Cyngor Bro MorgaTrnwg- Gr8nt Wliau
60.000
14.747
36,360
10.000
780
62.400
10,000
43,000
10,000
17,300
2.750
3.000
2.500
127387
145.450
INCOME FROM CTrIARITABLE ACTMTIES
2024
2023
Fee income
Tho only charitable advlty is the anhan￿rneDl of community 8duratKJn and general infO￿ation ty promoting Ihe
Welsh Langu8ge.
CHARITABLE ACTNifiES COSTS
Direct
Cost5 Isee
not8 61
Support
costs Iseo
note 71
Tol819
Enhancèrnent of communlty educa*'on
afid general information by promottng
Welsh language
14,617
153.137
DIRECT COSTS OF CHARITA8LE ACTIVMES
2024
2023
Staff costs
Activities
Play 5chemg
GWO Fach Y Frol9igs
Play clubs
Depreoation
59.882
15.138
2,639
57,532
3.139
190
59,497
35.114
3,372
40,181
7,690
190
138.520
146.044
Pag8 10
n￿nued...

MENTER IAITH BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS- conunued
FOR THE YEAR ENDED 31 MARCH 2024
SUPPORT COSTS
2024
Rent
Telephone and intemet
Storage costs
Subscription5
Printing, postsue and statK)n8ry
Advertising
Insijranc
Travel and subslstence
Legal and profe5sion81 rxjsts
Independent examination fees
2.140
360
2.970
1,039
164
1.09D
1,500
2,144
1,410
Tot81 supportcosts
NET INCOMEI{EXPENDrruREI
Net I￿￿Me/(eXPend￿urej 1$ ststed afterC￿rgingl(creddtIng>'.
2024
2023
D8predatlon- owne¢J asset5
190
TRUSTEES. REMUNERATION AND BENEFITS
There were no truste•s' rernUr￿ra￿on or othèr benefits for th¥ year ended 31 March 2024 or for the year ended
31 March 2023.
Tru$t••5' eMpens•8
ExFenses wgre paid by the eharity on behaifof one trustee during the yearol £2812023 . Nil).
Page17
con￿nued...

MENTER IAITH BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS * ¢onllnu•d
FOR THE YEAR ENDED 31 MARCH 2024
10.
eOMPARATtVES FOR ThE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fund
Restrkted
lunds
Total
fvnds
INCOME AND ENDOWMENTS FROM
Donations and legacies
57.492
89,413
146,905
Charftablè a¢tlvltl•s
Enhancement of cornrnunity educallon and
general informatiorn by prornoting WeLsh
language
11,669
Total
89,413
158,574
EXPENDITURE ON
Charitable acllvltle$
Enhan¢ement of community ed￿￿tIon and
g¢ner81 infoMation by prornoting Wel$h
la￿Uage
68.185
89.413
157,598
N￿INcOME
976
976
RECONCIUATION OF FUNDS
Totsl funds brought fO￿ard
49,326
49,326
TOTAL FUNDS CARRIED FORWARD
50.302
50.302
11.
TANG18LE FIXED ASSETS
Compyter
equipment
COST
At 1 April 2023 and 31 March 2024
760
DEPRECIATION
At 1 April 2023
Charg8 for year
475
190
Ai 31 Mar¢h 2024
665
NET BOOK VALUE
At 31 March 2024
Al 31 March 2023
285
Page 12
conlinuèd...

MENTER IAITH BRO MORGANNWG
NOTES TO THE FINANCIAL STATEMENTS- contlnv•d
FOR THE YEAR ENDED 31 MARCH 2024
12.
De8TORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Trdde ¢lebtors
other debtors
Accrued income
Prepayments
20.168
226
2,500
15.175
2.222
16.765
13.
CREDrroRS: AMOUNTS FALUNG DUE WITHIN ONE YEAR
2024
2023
Trade ttedltor5
Other credjtors
Accruals dèfbrred Incom?
4,319
2.236
4.577
20.948
21.386
IncKJdgd wilhin accwals and dalerrèd Income above Is the followlng deferrgd irwm8:
2024
2023
Defèrfed incom8 brought forward
R8lèased to SOFA
Addittonal income deferred in the year
10.000
110.0001
10,000
110,0001
8.3SO
10.000
The delerred Incorne mlates to funding recelved n advancè of sar¥ic8 delivery.
14.
MOVEMENT IN FUNDS
Net
mmm8nt
In funds
At
3113124
Al 114123
Unr•$tri¢ted funds
General fund
50,302
116.017)
34.285
TOTAL FUNDS
50,302
16,017
34,285
N8l movement in fund8. Induded in the above are as follows..
In￿mIng
iesources
Resources
expondad
Movement
in funds
Unr¢strl¢ted funds
General fund
63.134
179,1511
116,017)
Restricted fund5
Welsh Frdm8work
Fach Y Fro
Sumrner Gig$
36,360
32,126
136,3601
132,1261
5.5001
73,986
73.986
TOTAL FUNDS
137120
153.1371
16.0171
Paoe 13
conlnued...

MENTER IAITh BRO MORGANNWG
NOTES TO THE FINAPICIAL STATEMENTS- cOn￿nU+d
FOR THE YEAR ENDED 31 MARCH 2024
14.
hTOVEMENT IN FLINDS- contlnued
Comparotlvgs lor mo¥emgnt In funds
N81
rnovernent
in funds
Al 114122
3113r23
Unr•stri¢l8d funds
General fvnd
49.326
976
50.302
TOTAL FUNDS
49.326
976
50,302
Comparative movement in lunds. included the above are as follows..
Inccsming
resgurces
Resourcas
expended
Movtrmènt
in funds
UnrEstrlcted fun¢ts
General fund
69,161
{6B.1851
976
Restrlcted fvnds
Welsh Frarnework
Gwyl Fach Y Fro
Summer of Fun
43.000
28.163
16.250
143,0001
128,1631
TOTAL FUNDS
158.574
976
R•strl¢t•d lund$
Wolsh Framework funding was rècgivod from the Vale of Gl8morgaTr CounGiI to prowde Welsh language
service5 across The Vale.
Gwyl Fa¢h F Fro - funding was receNed f¥om Arts Council of Wale5. Welsh Govemm8n¢ and Th? Natlon8t
Lottery Commun5ty Fund towards the Gwyl Fa¢* Y Frofeslival.
Summer Gigs- funding received from Barry Town Council and thp Vale of GJany)rgan Council in to gigs
hèld around Barry dwing the summer.
Prlor year only
Summer Of Fun - funding was recolved from thg Vale of Glarnorgan Council and Mentr8u181th Cymru to support
the costs of the Surnmerol activthes.
1S.
RELATED PARTY DISCLOSURES
There w8re po related party transactions requlring di8¢108ure for the yeèr eYKled 31 March 2024 or for thè year
ended 31 MaKh 2023.
Pa98 14