REGisfERED CHARITY NUMBER: 1180834
Unaudit
ial Statemen
ded26M& 2

mind2mu￿l¢
Tn]st¢es' R¢
forthe Yw End¢d 26 Ma 2024
The tNst¢es present their ￿port with the financial statemenis of the chariry for the Y¢arend￿ 26 May 2025. The trL￿te¢S
have adopted the Provision5 of Accountin8 and Rew>rting by Charitie5'. Statement of Recommended Pr8ctic¢ applicable
io ¢haritie5 preparing their aecounts in a¢cordance with the Finan¢ial Rep)rting Stsnd8rd spplicabk inthe UK and
Republic of Ireland (FRS 102} (elTe¢tive l January 2019).
oBjE￿]VEs AND ACrnqTIES
Objeetives and Aim$
Object of the CIO 15 to relieve the symptoms. slow the progression and improve the physic￿ wellboing and promot¢
and adYanc¢ the h¢altb of peJ3ons suffering ftt)m:
(al Parkinwn's
Ib) Other neurological o)nditions
(c) ment￿ Health Conditions.
(d) People at risk of80cl￿ exclusion
each cas¢ in the United Kingdom atLd through the developmEllt andprovisi￿1 of aD itrt¢nse and structured
exercise program based amund r¢habililation through sporL boxing techniques and other strength training and
wnditioning teclmiques and methods and the training of coaches to deliver such a program.
Slgnltl¢Ant #etivitits
To promote activities that have a proven beneficial effect on health and wellbeing forthos¢ with Parkimon's.
euTologica] and rnentsl health conditions, and those at risk of scKial exclusion du¢ to age. disability. ill-h¢with.
minority etbnic cornrnunities.
ACHIEVEMENT AND PERFORMANCK
Cb8Titablt activities
Having ensured our services have reach￿ th¢ objxts of the charity including providing servi￿￿ to impr¢)ve liveg with
ntinu¢d ¢mpha5i5 of Rehabilitation for n¢urolOgi￿ condition5 and b¢nefi¢i81 r¢soure¢$ for tnentsl health and
reducing is(>lation.
Our rehabilitation cetth continues with clinical &ssessments therapy and has aided in helping p￿p]e with day to day
livins managing th¢ir neurological ￿nditionS effrdivety and overwming challenges faced after a newological
diagnosis.
We Rim to progr¢s8 ￿rther and continue in th¢ d¢velopmentof ￿￿bIlitatiOn in more aThs of th¢ county.
Support frorn fiLlldin8 strvdms and grant s¢h¢m¢s along with potentioj $ponsoJ3hips will b¢ sourced to continue our
rehabilitation servic¢s to pwvide ongoing long-tm engagemertt in our communities.
We thank those that h&ve provided such frJndirt8lgratts. CritieAI ts) successful applicati￿ks for fundinglgrants in the
future is our abilty to match are Charity putP05e to th¢ir criieri&
Further inforniation is availabl¢ on the Mind2Mus¢le website including a donation se¢tioD.
FINANCIAL RFVIEW
Prln¢ip&l fundiDg 5011rees
The Principle source5 of fimds are gym memixrship.
srRUCTURE, COVERNANCE AND MANAGEMENr
Govemlng docmEttI
Mind2Muscle 15 a Charitabl¢ Incorwrated Chganis*ion (CIO) regist¢r¢d with the Ch￿lty Commission on 26thNovember
2018.
Recruitment and #ppointsnent of neW¢n￿lee%
In selerting individuols for appjintmcnt charity tsvstees, the chBrity tsustses h8ve regard to the skills,
knowledge and eX￿rIenCe ne¢ded for th¢ ¢ff¢¢tive administration. Trusfees in OtT1￿ tnay nominate pcrsoDS to
be app)inted as new trnstee. Any oppointment must be made ￿ a meeting held accordin8 to the ordinary
practic¢ of the appointing body.
Risk m#n*gemèllt

We hav¢ trcognised a risk of insufficient in¢ome and reserves to expand our %rvi¢es as th¢ chaTity 15 Still
affected by the impart of the Covid 19. W¢ ￿11 mitigate the risk with fundraising and ¢v¢nts

2MuKI¢
forthey
REFERENCE AND ADMINISTRATIVE D￿TAILs
ReKiStered Ch*J4ty number
1180834
Princi￿1 addre59
Euro House
The Guid¢ Business Centre
School Iane
Blackburn
Lanc&shire
BBI 2QH
Tru5ttts
Mrs C M Kershaw
Ms LK K¢￿haW
LB Brown
C Lambert
B Gavahan
Approved by order of the b08rd oftTUStees on 25 April 2025 and Si8Aed on its
d)a]f by:
Mrs C M Kershaw. Tn

Irjde
ndentExamtn¢Vs Re
d2Muscle
to the Trustee
Independent rep)rt to tht trustees Ormi￿d2MUSC1e
I report to the charity trustses on my examination of the aceounts of Mind2Mus¢le (the Trust) forthe year ended26
May 2025.
Responsibilldes b￿￿5 of report
As the ¢haritytrust¢es of the Trustyou are res]xJnsible for the prepmtion ofthe accouDts in accordance with th¢
requir¢ments of the Charities Act 2011 (Yhe ACV).
I r¢FQrt in respe￿ of my exarninalion of the Trust's a¢￿Unts carried out under S￿tIOn 145 of the Act ond in ca￿1n8 out
my examination I have followed all &pplicable Directions given by the Charity Commission uThl¢r Seclion 145(51(b) of
the ACÉ.
IDd¢p¢nd¢nt ex￿Iner'S 5t8t¢m¢nt
I have completed my examination. I confirni that no rnat¢￿ matters have wme to my attention in conn¢rtion wth the
examinatiort giving m¢ cause to belieye that in any material respe¢t'.
l. aco)unting records were not kept in regpeet of the Tru* as requittd by Section 130 ofthe Ad" or
2. the accounts do not *¢ord with ihose records. or
3. the a￿oUnts do not comply with the appli¢able requirernents concerningth¢ fom) and Content of accounts set out
the Charitics (Aecounts and Retort5) Regulations 2008 ¢>therthan any requirement that the accounts give a ts
and fair view which is nol a matter considered as partof independent &xamitMtioD.
I have no concerns and have Come acros5 no other matters in connection withthe exatnillatiott to which att¢ntion
should be drawn in this rewrt in orderto enable a proper understanding of the aCcO￿ts to be reached.

Mind2Mu
Statement of Financia] A
Ended 26 M 2024
Tots]
INCOME AI¥D ENDOWMENtS FROM
Gym Memberships
£19.185.52
EXPENDITURE ON
Raising funds
o.Ix)
Charitable gctivitie
aritable ￿lIV11l¢S
NET INCOMEI(EXPENDrfuRE)
{£203.22.3D
NET INCOME BALANCE
{£1136.85)
RECOP4CILIATION OF FUNDS
Totsl fvnds brought forward
£2422.00
TOTAL FUNDS CARRIED FORWARD
£1285
The notes forni part ofthese financial slatements

Mind2Mus¢le
tes to theFinan¢ial Statem i
26 M& 2025
I. ACCOUhTING POLICIES
Ba$fjs of preparing the financiol statemeDts
Th¢ finallcial Stat￿nents of the charity. whieh is a public ￿nefIt entity under FBS 102, have been prep￿ed in actordarte
with the Charitie5 SORP {FRS 102)'A¢wunting and Reporting by Charities.. statett￿nt of Recommended Practice
applicable to charities preparing th¢ir a￿￿nts in accordance with the Financial Re[￿]ng Standard aEoli¢able in th¢ UK
and Republic of Ireland IFRS 102) (effective l January 20191,, Financtal Rew)rting Stsndard 102'The Finan¢ial
Reporting Standard appliubl¢ in the UK and Republic of Ireland, and the Charities Aet 2011. The financial gtatements
have been prepsred under th¢ historical cost ¢onventiort.
Ail income is reeognised in the Stst¢ment of Financial A¢tivitie5 once the cfftwity h&8 entitlemcnt to the ￿lld$, Lt is
pr(A)abl¢ the income WAII be reccived and the amount can be me&wr¢d reliably.
Exptndhmre
Liabilities are JwogDised expenditure 800n ay th¢Te is a legal Orconsln￿VC obligation ¢ommittiD8 th¢ thaTity ttTr
that eX￿ndit￿e. it j5 prnbable that a ¢Tan5fer of economic benefits will be ]Equired ill settlerntnt and the amount of th¢
oblTgation can be measur¢d r¢liably. Expendifyre is aewunted for on ￿ accruals b&8is and h&4 been classified und
headings that a¥gregate a]1 cost related to the category. Where ¢osts caM￿t be d1￿ctlY attribuied to parti￿]Rr headings
they have been allocated to %ttvi¢i¢s Oll a basis Go￿lstE[rt with the use of resources.
Tangible r￿ed
Depreciation is pwided at the following annual rntes inord¢r to wrtte off asset over its estimated u5¢fv1 lif¢.
Fixth and fittings- 25% on rnlu¢illg balanL%
The charity 15 exetnpt from on its charitable activitles.
Fund accountin
Unr¢5tri¢ted fun
can be used in accordance with the charrtable obj¢ctiY¢s at the discrdxon of th¢ tnLqtees.
Restri¢ted fimds can only be used for particular r&8tricted purp)ses within the objects of the charity. RestrictiOTts arise
en sp¢cifLed by the th)nororwhen funds are raised for parti¢ulAr restricted purrrf)se5.
F￿thereXPlanatiOn of the natu￿ and purpost of tach fvnd is included in th¢ not¢$ to th¢ f￿anCi￿ statements.
I TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remunertion or other benefits forth¢ y¢ar ¢nd￿ 26 May 2025 nor forthe y¢4r ertd¢d 26 May
2024.
There w¢rc wtrustees, expcnses paid forthe y¢ar ¢nd¢d 26 May 2025 nor forth¢ year ended 26 May 2024.

INCOME AND EJ¥DOWMETrrrs
TotAI iAcoMing r¢gourc¢& (gym mtmbersbip)
£19,185.52
EXPENDrruRE
Cbxritable xetiviti
Mlnd2Mu8ele ServlLYS
£12.942.52
£232.80
Fuel
£2148.46
Serviee eharge
£78.00
Close JKC
£1262.59
Unitd
£1018.59
Dat* b98e (IONOS)
£207.90
Base8
£99.00
Go cardleyg
445.66
Sundrles e44 ehubb & defjb et
£1886.85
TOTAL EXPENDfiuRB
£20.322.37
This page do¢s not fom) part ofthe statutory finan¢ial stat¢m¢nts