EMMAUS SOUTH MANCHESTER LTD
FINANCIAL STATEMENTS FOR THE YEAR ENDED
30 JUNE 2025
Registered Charity No. 1185563
Company Registration No. 11181301

EMMAUS SOUTH MANCHESTER LTD
INDEX
PAGE NUMBER
CONTENTS
TRUSTEES ANNUAL REPORT
INDEPENDENT EXAMINERS REPORT
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
STATEMENT OF CASH FLOW5
10-17
NOTESTO THE ACCOUNTS

EMMAUS SOUTH MANCHESTER LTD
th
Report of the trustees for the year ended 30 June 2025
The trustees present their annual directors, report and financial statements of the charity for
the year ended 30th Jun8 2025 which are 81s0 prepared to meet the requirements for a
directors, report and accounts for Companies Act purposes.
The financial statements comply with the Charities Act 2011, the Companies Act 2006, the
Memorandum and Articles ofAssociation, and the Accounting and Reporting by Charities..
Statement of Recommended Practice applicable to charities preparing Iheir accounts in
accordance with the Financial Reporting Slandard applicable in the UK and Republic of
Ireland (FRS 102).
Objectives and aGtivitles
The purposes of the charity are the alleviation and relief of poverty, hardship, and distress to
those in need without distinction.
The trustees confirm that they have referred lo the Charity Commission's guidance on public
benefit when reviewing the Charity's aims and objectives, in planning future aclivilies, and
setting the policies for the year.
The charity furthers its charitable purposes for the public benefi't through its aim of providing
accommodation for the homeless and to provide education and training for the beneficiaries
of the charity as appropriate and relevant lo their respective needs. It also supports and
works in partnership with other agencies in th8 relief of poverty and homelessness.
A revlew of our achievements and performance
During the year, we continued to further consolidate and build on the pr8viously laid
groundwork towards our long-term objective lo establish a self-suslaining community home in
South Manchester for previously homeless people as well as to establish a hub for wider
Solidarity activities for those who are socially excluded and in need living In the local
community.
This was achieved by further consolidating the income generated in our r8tail enterprise
despite a slowdown in trading conditions during the second half of the financial year. Our
retail outlet al St Andrew's Methodist Church in Wylhenshawe continues lo be our operational
hub and will provide the financial basis to support our future community home. The
appointment of a retail supervisor increased the staff team to four and allowed the streamlining
of retail support processes behind the scenes, reorganizing rooms lo be more productive with
a faster turnaround to increase sales. Having an additional staff member also meant we could
increase our opening days to five. Any surplus our retail operation generates allows us to
increase the reserves for our community building fund. During the year we again held a highly
successful Christmas Fair event which proved very popular locally.
We have continued to build our presence in thè local ar8a through networking by.. giving tasks
and attending local GommLtnity events,. increasing contacts with local councilors, local housing
assccialions, Manchester City Council and GMCA as well as other home18ssness charities.
During the year we registered for Gift Aid and implementation has proceeded smoothly. We
also became an official furniture providerlo Wylhenshawe Community Housing Group.

EMMAUS SOUTH MANCHESTER LTD
We continued to develop our partnership with the Methodist Church as we work to establish
our communily home for previously homeless people and support the Church's work in the
local community.
We continued our Solidarily work in the local area over the course of the year including
Christmas donations to those in need, an Easter egg collection for a local hunger busting club,
helped domestic violence victims, street homeless and donations lo a baby support group as
well as providing fabrics to five different charities.
We are active supporters of Emmaus UK having participatèd in the Emmaus Brand Review
committee, the Emmaus North West Partnership and have applied for affiliation to Emmaus
International.
Financial review
During the course of the year steady progress has been made lo further develop and grow
relail income from the Social enterprise. We have continued to seek funding where appropriate
to support this growth. Our financial reserves are strong.
Investment powers and policy
Aside from retaining a prudent amounl in reserves each year, most of the charity's funds are
to be spent in Ihe short term so there are few funds for any longer-term investment.
Reserves policy and going concern
The balance h8ld in reseNes al 30th June 2025 was £165,353 of which £164,624 are free
reserves, after allowing for funds lied up in fixed assets.
The trustees aim to establish a reserves policy based on covering three months running
costs for the organisalion.
Risk management
There is a risk ass8ssment policy in place.
The Directors have conducted a review of the risks fa¢ing the organisation. This is part of the
review of the Service Business Plan. Where appropriate, systems or procedures have been
established to miligale the risks the charity faces. Procedures are in place to ensure
compliance with health and safely of staff, volunteers, and visitors.
Plans for Future Periods
We will continue to build our partnership with St Andrews and to grow our social enterprise to
maximise retail income growth to support our long-lerm aim of establishing an Emmaus
community home in South Manchester. We will explore all options to find a suitable site for
our cornmunity home and continue to source appropriate funding to support the project. We
will also grow our partnerships locally within the local community and develop links with other
organisations lo develop our SolidarFty aims to help those suffering homelessness. social
deprivation, and poverty locally.

EMMAUS SOUTH MANCHESTER LTD
Structurey governance, and rnanagement
Emmaus South Manchester Ltd is a company limited by guarantee, number 11181301,
governed by its Memorandum and Articles of Association dated 1 $1 February 2018. It is
registered as a charity with the Charity Commission, number 1185563.
Appointment of trustees
As set out in the Articles of Association, trustees are elected annually by the members of the
charitable company attending the Annual General meeting and serve for a period of one
year with one third re-elected annually. Trustees are recruited through publicising the work of
Emmaus South Manchester through the charity's website, social media, print media and
local networking.
Trustee inductlon and training
Most trustees are already familiar with the work of the charity as a result of longstanding
connection with the organisation. Additionally, new trustees meet with existing trustees and
are encouraged to visit at least one of the existing Greater Manchester communilies and are
given background information about the work of Emmaus and how it operates. Minutes of
previous meetings are supplied, and they are encouraged to attend meetings and activities
lo familiarise themselves with the work of the charity and the context within which it
operates.
Our national federal office, Emmaus UK. provides regular trustee training opportunities and
updates which are supported by those from the Charity Commission. In addition, peer group
meetings amongst members of the Emmaus communities and groups are attended by
trustees lo enable learning. Staff and trustees are encouraged to attend the EUK Nalional
Assembly and meetings of the Emmaus North West Partnership.
Organisation
The Organisation has a Board of Directors.
There must be a minimum of five directors. There is no rnaximum number.
The Board of Directors is responsible for the strategic direction of the organisation.
A scheme of delegation is in place and day lo day responsibility for the provision of services
rests with the senior management team,
Related parties and cO￿peratIon with other organlsations
None of our trustees receive remuneration or other benefit from their work with the charity.
Any connection between a trustee or senior manager with any seNice providers must be
disclos8d to the full board of trustee5 in the same way as any other contractual relationship
with a related party.
Reference and administrative information
Company and Charity Name.. Emmau5 South Manchester Ltd
Charity Number.. 1185563
Company Registration Number: 11181301

EMMAUS SOUTH MANCHESTER LTD
Directors and trustees
The directors of the charitable company {Ihe charity) are ils Irustees for the purpose of
charity law. The trustees and officers serving during the year and since the year end were as
follows..
Key management personnel: Trustees and Directors
lan Lloyd Jones
Chair
Frances Hirst
Vice Chair
Simon Locke
Tony Stephenson
Susan Hyde
Samantha Days
Benedikt Weber
Stephanie Cameron
Emma Sidlow
Victoria Pryer
Reginald Lawson-Tims
Jenny Cook
{appointed July 20241
(appointed Novèmber 2024)
Ir88igned December 2024)
(resigned January 2025)
Company Secretary (resigned June 20251
(appointed August 2025)
Treasurer
Senior managers
Gavin Bryson- Operations Supervisor
Registered Offlce
St Andrews Church
Brownley Road
Manchester
M22 ODW
Independent Examlners
Hilton Jones tla Community Accountancy Service
Hollinwood Business Centre
Albert Street
Oldham
OL8 3QL
Bankers
The Co-operative Bank plc
Balloon Street
Manchester
Soldo Financial Services
119 Marylebone Road
London

EMMAUS SOUTH MANCHESTER LTD
The Charity Bank Limited
Fosse House
182 High Street
Tonbridge
TN91BE
Professional Advisors
Emmaus UK provides some professional advice services.
Trustees, responsibilities in relation to the financial statements
The charity Irustees (who are also the directors of Emmaus South Manchester Ltd forthe
purposes of company law) are responsible for preparing a trustees, annual report and
financial statements in accordance with applicable law and United Kingdom Accounting
Standards {United Kingdom Geneially Accepted Accounting Practice).
Company law requires the charity trustees to prepare financial statements for each year
which give a true and fair view of the state of affairs of the charitable company and of the
incoming resources and appliGalion of resources, including the income and expenditure, of
the charitable company for that period. In preparing the financial statements, Ihe trustees are
required lo..
Selèct suitable accounting principles and then apply thern consislently.,
Observe Ihe methods and principles in the applicable Charilies SORP.,
Make judgments and estimates that are reasonable and prudent.,
State whether applicable accounting standards have been followed, subject to any
material departures that must be disclosed and explained in the financial statements.,
Prepare the financial statements on a going con￿rn basis unless it is appropriate to
presume that the charity will not continue in business.
The trustees are responsible for keeping proper accounting records that disclose with
reasonable accuracy at any time Ihe financial p051tion of the charity and to enable them to
ensure that the financial statements comply with the Companies Act 2006. They are also
responsible for safeguarding the assets of the charity and taking reasonable steps for the
prevention and detection of fraud and other irregularities.
By order of the board of trustees
lan Lloyd-Jones
Chair
Date.,

EMMAUSSOUTH MANCHESVER ITD
TATE￿NT0F
NANCIALACTIVITIES FOR THE Y
INCLUDING I
ME
D EXPENDITURE ACC
DEQ
NE2
21
Toial Pund8 Total FundB
Unro8irJ¢i8d
Fund8
R￿trIct¢￿
Fund8
Y•ATE￿￿e￿ YearEnded JO
311 J¥r¢è2025 Juno2024
Furfher D4tall$
Iner*ne from..
DoRBlions and
Charitabl&ArlivII
otherTfadingAcuvw89
InveS￿ent Income
TcAal
12,379
12.379
19,929
159.970
1.082
193,340
11.9S9
17.250
169.4DD
18,829
159,970
1,062
173.411
19,929
19B,619
Expondli ur8 ￿..
R81sino Funds
CharitsbleAcbvrfi
Total
13,405
120.445
133.850
13,4C6
147,125
160,530
16,150
134,449
150,599
26.680
26,6BO
N•t In¢omolloxpondlI￿r0*
39,561
16,7511
32AIO
43￿20
TranBfers bthéÈÈn lund$
{1n
Net rnovomAnt In
39,561
32,BlO
48,020
Rfconclllallon of funds
Total tund8 broughlltsrwayd
T¢ial I￿ndS e&rrféd lorward
11n
117)
125,792
16S,353
12,866
6.115
138,658
171.468
90,￿$
138.658
The Statement of financi* &GbYibes ￿dudeS411 yaln$ and I(￿e5 rwThlsed In the year. All Incomeand
6mp￿lI￿re dertvefrom conbnuing actiVi￿e5.
Tbe ￿teS on pages 10 10 17 forth p¥tof thèa&gc¢¢unts.

EMMAUS 50U7M MANCHEsfERLID
BALANCE
ET AS AT 30 JUN
Cornpany RèglAiratlDn Number.. 11181￿1
202$
2024
Notes
Flx•d 4$9•t4:
TangIb￿asselS
Total fixed asse
e,fj44
6.844
f5,893
15,893
¢urr•nt •g8èts'.
si(tks
Deb￿S
Cash at 8ank & In
T￿81 ¢urr*ni a$3etS
(12)
1.428
14.771
1Sfj.04
1YI.247
I.ooD
3,535
124,991
129,$26
Llablllues..
Creditors. Atnounts lalllng duewItl￿n oneyear
12.823
6.761
èt ¢L¥reni8s$e15 OrI￿li11￿e
164.624
122.7e5
Total assets I￿$￿￿￿1 IlaNK￿9
171.4e8
138.fj58
Credilor8". Amunts falling du&after mc(e Ihanoie
Total ng18gsèts or 11a￿1￿¢
171,408
13U,858
Thofund5 olthe ch*Ylty'.
Re5triued income funds
8,115
12.866
unr&strtcted incomp fund5
16S,353
125,792
Totaltharityfunds
171,466
4a8.658
Theseaccount5 have been pr2pared InaccordaniÈ wlth Ihe provislons appliitsbleto
companRswbleclto the sm311 companies. regime.
FortheperlDd Ir¢que511on ther0Enp8nywasenllt￿d lotheexemprion conferred by5E(I￿￿ 477
of the Companie5Act20LE, dndth3t no Mtlce has beendeposiied under 5ectlon 476 in re￿¥10
(Drnplyitsgwilh th.e iequirptnent5 of the CDmpanlesAct 2006with respeci
8CCOVlllin8 record5 and thE pr£pai?Ilon of accounts.
Apwove& by the Iw$lee3on
Jy
Chair
lan LW Jonès
The￿oleS On P4Q6S 1010 17 forrn part of Ih¢¥6$ccovnts.
03 Feb 2026

EMMAUS SOUTH MANCHESTERLTD
8tatB¥nèntof C8Bh FIOW8 foi tho y•gr Jun•2024
REcoDdllÈtlon olnet movementkn f¥r¢its tonetca5hflDwfromoperatirf4¢tlvltl
YoarEllé8d Ypar Ended
30 June 21Z$ 30 Junè 2024
NeirnOveme￿t infvnds
Add backdepreciatio
22.810
9.049
14281
111.2361
5.86Z
48,Q20
g,Q49
Incre25elldecr2a5el ID credllprs
{2.8031
Net c4sh In OpttatI￿ acllvltle5
38,057
52,430
C89hflow$ Irorn Invo¥tmen¢a¢tMtw=
lere51
Pl￿￿85&01 fixed a$8els
Nètcagh provlded by Invosllnga¢UvlUe
IncRasalld8¢r¢Asel In eash equivaknls dufing Ihe year
26.D57
52.43Q
Cash 8r¢ ¢ash eq￿l￿al￿￿ ￿ught forward
72,661
a*d ¢ash4qulvalenl$ carrled lorw•rd
124,991

EMMAUSSOUTH MANCHESTER IID
Note¥ to tha a¢count5 forthoyearended 3Qth Jun• 2026
l. ￿(pUntIng pollcles
Iwl Basls of preparallun arAl•ssessm*nt 01￿4￿8(0￿¢*Irt
The3ccoun15 Iflnanci31514tÈmentsl have beon prepa￿d under thehl5iorlcalcosicl￿ven1I0ll with items Yecognlsed at
ost ortran5actionvalue unles50therwi5e5tated In the ￿levant note5tothese accounts. The flnancl81 staletnenls
have been piepaFedln 3ccoidance ¥yith th@StateMenl of REcommÈTrded Plactice.. Accountln83Trd Reportlngby Charit*s
pteparlnethelr accoun15in accordlnce wlth the Flnancial Reportln8Stindard applltable In the Uxand Republicof
Ire14nd IFRS 1021, effective lstJ8nuary 2019, and the Finantial RepDrtlngStandard applicable in the unired Klngdom and
The tharityconstitutes a publlc benefit Enlityèsdellned by FRS 102.
The li￿teP$ton51￿e{th8l there a￿ no maierf81 un￿W￿l￿tIes3bOUtthethÈr1t¥,sabl1ItVtoc￿lln￿e35a gdn8concFrn.
Ibl Reconclllatlon wlth Pi8viou$GeTherallyAc<epted A¢¢Ountln8 Piactlce
In preparlTrg th*. atCOunt%, thetrusle25 have cyn5idered whetherln applyln8ihe at¢ountingpollcle5 iequlred byFR5 102
and IheCh3ritles SORP FRS 101 a re5tatèmeThtof ComparalF￿ itemswas needed. No resiaternents were requireLS.
Icl F￿ndS structure
Restrlctedfund5Brefundswhich are to be v5ed In accordance wlth speclflcre5tiicllDnS imposed by thedoThoroi
tru5tdeed. There a￿ 6restrJcted funds,
Unre5tritted Income fund510rnPD5e tho5t f￿nd5whICh thetiusiees èrefieeio use I￿anY purpuse In furtherancE ol
lhechaii¢0b￿ obiecls. Unre511i¢iè&funds Include designated fundswhere ihetrusiees, attheir di5cYetitsn, have
created a fund f(Ka 5PÈEifit p￿rpOSe.
Furtherdetailsof e8chfundare d15closed In DotÈ 17.
Idl IncomÈ rKognlllon
I Income15 reco8n15ed onie Ihe th3rlty ha5entillemertt to the Income,1115 probab￿ thal the Inrome wlll be
le￿l¥ed and the imount of Income rec£lvable¢an be measured rellaNy.
Donatlgn5are rÈco8nlsed wheD the charity has been notlfied inWTllin8of both the an￿￿nI and Se[t￿Ment date. In IhÈ
eventthati donatSon i55ubjEd totondltlons that requirèa lÈvel ol performance befoTethechèiity isentltledto the
funds, the Income15delerred and not recoBn15eLI until eilhÈrthosetondlllor*S are fullymel. Dfihefwllllmeniof those
condltlonslswhdlywithln rhecontrd ofthechariiyand 11 Isprabable that those condltionswlll be fulfllled Sn ihe
reportin8 perlod.
Intf rp51 oh lunds heldon deposil Is Includedwhen recelvable the amountC3n be rneasured rella￿V bythechar51V,'
dlvldend ha5 been ￿¢(lared and notllicatlon hasbeen iecelvedof 1hedlv￿enJ due.
101 EMp¢mditure flecogn1t￿n
LiatAlllies are recogni5ed a5expendlture a5500n astherE 15 6 IE8al ortOn51rucllveobll8alioh ¢omm51tlngthecharWto
thatexpenditure, It Is probable that 5etllerneDI will be requlred and the amount of the obllgaiion can be measured
All exppndIt￿re Isaccounted on an a¢crualsb3515. All exFpn5e5 inCl￿dIngSuppOft C05tsand BovÈrnan¢ecosts are
Èllocated orapportionÈd toth¢applicable expenditu￿ headings. For more InlDrmatloTh on thi54tlrlbulilJAreleY to note
Ifl lit&£o¥erable VAT
IrrecoverableVATischarged a8ainst the expendit￿re headingforwhlch It wa5 Incurred.
181 Aljocationof $¥pportandB0vewnan￿Ca$ts
5uppvri r0515 have been allocated between governance (0515 othefsuppDrtcosts.Governance wsts compiise all
tosts Invol￿n¥ the publit ac¢ouniablliiyof rhe charllyand Itsctsmpllance wlth re8ulatioTr and goDd Piacilte. These
Costs Includec05t5 reLited 10 independeDI etsminaiion and legalfees togethei with an 3PPDltlonmenl of overhead
and svppNI costs.
GtsYern3nce coMsand 5UPPOrt C05ts rel3tlnglocharil&ble activities have been apportloned bè5ed ontypÈof expense.
The allocatbn of support and #￿er￿ance(Ost5I$ 8•alysed noie8.
Ihl Costs of ral$lnglund5
The r951S of ra151ng iUtbd5con$1s1sd purchasesancl pD51a8eloroft15ne s31es.

EMMAUSSOVTH MANCHESTER LTD
li
111 Ck•tltAblEActlvltle5
costsolcharltablezttlvltles IncludegovernaDo tOS15 and an apportlonmenrof 5￿PPOrt1p5Is a%shown In note7.
(fjITanBlblellx*d asseis anddeprÈclaUon
All a55Ets t05tlngmoreth3n £SCOire capiia115ed aDd valued at hlstorital cost.
111 Reallsed gainy4nd losse5
All 8ainsaDd lossesare taken lothtr5tsrement of Flnan¢ial A¢iiviries?%ihe¥ar15e. Reallsed 8aln5and losseson
Investments )re ￿leU13ted a5the difference between sales proceedsand thelropeningc3rrylng¥alueor Iheir
purchase value ilacquired subsequent tothe fir5tdiyof ihe flmncialyear. Unre¥llsed BaiTr5and |055es are
investmentgainsand k)sses areCOm￿￿ed inthestatementof Fin3nrial ActlvSlles.
th3riiyadrninister51QDtrlbutlonstoan aulo.enrolmeni pen51on 5rhEme. Thecharlty has nooblieatlonsbewnd paylngthe
deduciionstothppenslon provldei.
111 Oebtots
Trade and oiherdeblof5 art Yecognlsed 31 Ihe5etllement amount due afteranytiade discount offered. Prepaymentsarevalued at
thE amDUnt prepaid netof any traded15countsduÈ.
Im) cred6￿58nd provlslon5
Creditorsènd prov151ons are reio8nised where the ¢harlty hasa pie5ent DbSi8atlon re5ulllnBfrom a pastevent thaiwill probably
iesult In Ihe iransferof fundstoa thlrd party8nd Iheamountduetosettle theobllgatlon be measured orestimated relkably.
CrÈdlt015and provlsions are normallyreco&Di5ed at thelr 5etlleff*ntiMountafierall(￿Ifft8f0ranY trade discounts due.
2. Relalpd p4rty transac￿4￿8 and i¥us1&è5' expen¥•$ and rem￿neratiO
Thettvstees311 givefieÈlythelriime and experti5E wEthout3nyform Df femuneratlonorother benefii Ill cash orkind
3. Donat10￿5 LegKles
Vnrestsicll
Resirfcled
Totsl Funds Total F￿n￿¥
Year E￿¢1•￿ 30 Ye¥rEnded YeaT Endod Yeer Ende
June202S
30 j￿ne 2025 30Jvft• 202S JO Juné 2D24
DOnati￿S
GiftAid
Don8b"on ￿tKI- Bwzl
3,￿7
8,422
3.957
&422
soo
11,969
12,379
12,379
Pw5ous repoiiingperÈDd
Utsr¢$trkted
Rest￿19￿
Total Futsda
Year 30 Year End•d Ye•r Ended
j￿ne 202
30 Juno 2124 30 June 21J24
Dmlk)ns
Oorollon In Klnd- Bun
11,469
S￿)
11,969
11,469
soo
Jl.969

EMMAU5SOUTH MANCHESTER LYD
12
4. Inco￿¥fI￿ charltabte actlvhl•8
LInr￿tr￿Gt¢d
Restrl¢tod
Tota1 Funds Tot&1 Funds
YfjarEnded 30 YearEndid Year Ended YearEndod
June 2025
30 Jun$ 2026 30 June 2026 30June 2024
Restsicied Gf8nts'.
Albert Hunt Tru
EmmaLl¥ itK
8.000
17.250
1'1,250
19,929
19.929
Prwous r¢porting
Vn1fr51ilcte
Rogtylctéd
Toial f unds
Y•ar Ended 30 Y*aTEndod y¢arE￿ed
June 2024
30 J¥n• 2024 3DJuno 2014
Resmed GraTrlS".
Emmaus UK
17.250
17,2SO
17.250
17,250
S. lTrrofftwfn)m othertrading aciivftle8
UnTe5trlcled
Re$l¥t¢tÈ
Total Fund& Total Fwdg
Ywer Ended 30 Year Ended Y••r Endad Yearendad
Jwe 2025
30 Junè 2¢12S JOJune 20Z5 30 Juno2024
Retail Sales
CaféTakings
159,970
169.970
164,926
4.474
169,41
159,970
159,970
Previousreptrtlne perlod
Umrogtrlcted
Re¥trl¢lèd
Total Fund$
VèarEKded 30 Yèar Ended Year Ended
J￿￿e 2024
30 Jun& 2D24 ￿ Juno2024
RetalISa￿s
CaféTakiD85
164,916
4,474
169,4(K)
1e4.928
4.474

EMMAUS50UTH MAN¢MESTESt LTD
13
& ExpeTrdlture
Communlty Y@aTEnded Yoar Endfd
A¢llvlll•s
30 Juno 2025 JO June 2024
Expendlture on ra151￿%1￿￿5'.
afé Expendi￿re
Advert1￿
Purcha5PS
8,624
1.335
410
12.995
13,4D5
410
12,995
13,4QS
fxpendllurg ￿ charltstA•o¢tfvitlÈs'.
Efflploytnenl Co¥
88.762
88,752
132
1.8
74.564
522
Bsftk. ¢￿￿11C3[d & PayPal Charge$
Bu1￿1ng Improv&meni$
ComputBr& Iniemei¢osl$
SubsGripllons
veh￿16 Expenses
Volunleer Expense5
Minor Equipmenl
Repats& Malnienance
Reni
Solid￿ty Payfflenis
Insufan
Teleph￿e
Tra￿1 Expon$6$
Woik Ck)Ihe3
G￿e[n8nCe Co$
Prinling. SlaIr￿)￿ry& PDsLage
Depreclation
1,83e
1,631
562
2,C04
844
7,883
7.683
21
5.2
27
1.268
234
31,307
1,￿5
1.153
1.226
1.236
717
1.6¥6
718
9.048
134,449
420
30.658
50D
420
30,eS9
soo
1.277
1.232
f.2Y2
932
188
1.372
g6
1.372
9.04
147.125
147,125
Total Expenditure
160.530
160.￿0
150,599
26.680
133.￿0
160.530
24,865
125,134
150.599
Unre5trkted fuNIs

EMMAUS SOUTH MANCHESTERITD
14
7. Analys15 of expendiiure oncharltable W￿l¥ll7e$
As per note 6.
8. All(K4tiOn of 8o¥erna*ce•nd swort<05tS
ThÈ tieakdown of 5UPPOrtcosts and howthese were alloc3ted b￿￿een goveinafi¢eandoiherS￿pport costs isshown
below..
G•neral Support
Govornance
Totat 2025
Ba¥1$ of apportlonmeRt
798 typpol pxwse
800 typeofexpense
274 type ofwenEe
1.372
Accourtl8n¢yFees
Book-k8eping
P8yroll Bueau F88$
300
274
574
798
Prevbus repDrtlngpeiiod
General Support
Go¥ornante
805
Total X024
B8$1s 0(apport￿$￿t
805 typeofexpÈn$e
339 typeof expense
230 typgofex*n5e
282 type ofexr*nse
1.636
A¢￿￿tan￿ Feos
BrA>k-kee￿Thg
PtOf6SSi¢n81 Feeg
Payroll Bureau Fee$
339
23D
62
831
9. A￿a￿S150f Ststtc05t5
Yoar Ended Yèar Ended
3D Jtsn6 202S 30 June 2024
Wages and SaL8Neg
Hdiday PayAc¢rual Adlu51ments
Redundan
Sorlal Securitycosts
PeDslM Gosts
85,200
72,17S
872
1.703
88.752
74.564
Ch8llWb￿ acbvrfi&s
SuP￿t¢0515
88,752
74.584
88.752
74,564
The average ntsmberolemployee¥ dvrtNJlheye8r%¥8$ 3 (previous￿￿. Sl.
The ¢ngrily ¢onslders 115 key m¥nagemenl pers￿￿￿￿ comprises senlw manaoei and the Iru$teÈ5. The total Cost8￿￿¢ Key
maTri8emer*t perSOn￿e1 were£31,099lprewDusye3r'. £33,4921.
No employÈB ha$ benefiW In excessore60,000 Iprevious yp¥r none).
10. IndppèndèntEXa￿fjntrr F•88
YeaT Endod Year Ended
30 June 2025 30Junp 9024
lrtdependen1ex¥AThn8l￿n fee5
798
798
805
B05

EMMAUS SOUTHMANCHESFER LID
15
11. Tanglble Ftxed A6$At$
Motoi
V8hl¢lè$
EquSprnbai
rotsl
At1 Juty 2024
Addl11￿S
AI 30 June 2D25
13.091
2a,108
36,199
13,091
23.108
36,199
DepredaY(xb
At i July 2024
Chargeloryear
AI 30June 2025
8.752
3,272
12,024
11,554
5,777
17,331
20.3(
9,049
29.355
NET 8OOKVALUE
At30June 2025
At3Dlunè2024
1,067
4.339
5,777
11,554
6,844
15.893
12. Stocks
2025
2D24
Be&5
1,428
1,428
1,0
ia.Ahotysl$ of debtors
2026
2024
Debtor5
PrÈp3yrn£nrs
11,929
2,842
14,771
1,031
2,S04
3,535
DEbtors4nd prepayments relèteto unresliicred funds£14,77112024.' E3.5351.
11.Qedltor5: 4m(wntsfalllngdue wllhlThome year
2015
2024
¢1gdi*)rs
Shrrft-18m ¢ompÈThsAied absen￿& (hD1￿ypay)
OlhÈr¢redllOTsand gcGwals
TwlKJn and 50(xa18e¢wly
Delerred iDcom¢
3,229
5,798
4.021
847
2,685
12.623
$.781
15. Deferred Intome
Deferred incom&crpmp￿5e5 giants invoked in ￿Vance *rthÉ n&xlfinancialyqar
Bakgn¢e as al l July 2024
Amount r&leased io in(xmp wned chaDiable xiivit4es
Amounldeletred iny8ar
Sa￿nCe #i 3c)Jure 2025
16. Cr4dknrs'. aM￿nt¥10111￿9 d¥eAfter rnorwthan a￿&yoar
2025
ZQ24
ProYtsi(In5 forllabihlieB

EMMAUS SOUTh MANCMESTER LTD
15
17. Analysls of chaillabk fu￿d$
Andlyg19 atmovemènts In unThstrfcl£d
Bal8n¢¢ gt I
Juty 2024
Incomi￿9
Rèsvurr•$
Rosource$
Exwded
8￿1￿¢• At 30
JuTrB 2025
Tran8f6rs
General Fu
125,792
12S.7&2
113J,850
33,850
155.3$3
165.353
repo￿ng penod
B¥lgnCeAI 1
July 2D23
Incoml*g
Re¥our¢ès
Resoui¢&s
ExppTrded
Balance at 30
2Q24
Trath61frrs
General Fund
7Q.157
70,157
181,369
112S.734
125.712
125.792
N&me of urwèstii¢t*d fund..
General Fund
DescrlpUon, purpo&e of th? I￿1
Th8 Ytttr re$¢Nes
Analysls of Movernenis In rBgtrl¢t•d lunds
Bala￿0 at i
July 2024
Incomlng
Ro¥ourt*s
Re¥pur¢•s
Expende
Balwte at
JunB 2025
TTaThsfgr8
Emmaus UK
AlberiHuni Trust
Duthyof L3nc35lei
Emmau3 Mossley
The Cloth￿k￿rg Fowdalion
The Skdioncwty
11,929
11Z,5fj51
3,WO
11,5001
1,500
49U
3,750
375
7.500
750
375
126.6eo
12.866
19.929
8,115
pre￿Ou5 reportlD8peilod
Balance at 1
July ￿23
IM¢omwg
Resources
ResourceB
EMp¢ndtd
Balance at3
Jun• 2024
TTan&fers
EmmaJ$ UK
Duchy of Lancast
Emm3us Moss18y
The Cloih￿lker5 Foundaiion
Thè Ske5ton cnatity
M8n¢heslErCity Countyl Cosl of Llmrky Crfsis
17,250
(17,250)
11,$00)
635
4,500
1.470
11.250
13.7SOI
13751
{1.50D
1?4.06SI
750
1,500
20.4&t
17,250
12.9fj6
Nam¢ of r49tr1cted f￿￿1.,
Emmèus UK
Albert ￿u￿tTruSt
Duchyof lancaster
D$s¢rlpUoM, naturo amd puipo¥e of the fulld
lorsalary costs.
1oix)verth&sa￿ry ola reiail ass18tsnl
CQntsibulion iopurthase ol replacem8niv8hl¢l2. The balanceffi Irws ￿n￿
presentsfuiuredeprerlaiio￿.
10 Sup￿development of ESM pro*cl. The b*ance on Ihi4 Iwd repre5enis
future Oepreti8lbJ).
f¢*th6 wrchaseof avehKle. Th¥ baLgThceon INS fund represeDtsfutur8
Émmaus Mossley
TheCk>thworkers FouMd3110
Theskeltoncharlly
lo pur￿￿8 $Ètond sior8ge wn&lnerIordo￿ts'oni The balanceon Ihis lu
iepreseDts fvlurè depreU3l￿Tr.

EMMAUS StXIYH MANCHESTERLTD
17
18. AnalyBls of net ￿691& bthiryen funds
Unr•sfd¢tsd
fund$
DeAlgnatsd
lund5
RÈstrlcted
funds
Tol812025
Taroible flxed Bssets
Cash al b2nk and hafid
Othernel cuir&nl a58&ts1lliabililksl
Credilors of ￿￿1h8￿0neyear
Totsl
729
8,844
161,048
3.$76
3.57fj
1￿.353
fj.11S
PreV￿u5 PWICNJ
LSnré8trklOd
rumds
Do8lgna
funds
R•gtrlcled
funds
Total 2024
TanglNefixed assets
Cayh 81 bgnk in hand
Other nelcuTreni 8$8¢tsllllabllllE51
CrtdI￿￿ Ormo￿ th3n one year
Total
3,QQ3
124.355
12.22SI
2.230
15,892
124,991
12,2281
125.792
12.ee6
138,858
19. Finan¢lal Insirumfynts
Th&th8rityontyhas financial assei8 8fid Ilablllll&sofa kin&lhal qualityas basK flnancial in5trumonts. Baslc flnandal
Inslruments are initially r8tognised on a Ir8n9aclion value subsequenitymsasurfyd al Ihelr 5elllemenl %71uewlh the
excoonrfbank loansvthiEh 8fe $ubgequenltym*swod 81 an am¢rtlsed cost using the effective iniere51 method.


## **Issuer** 

**Issuer** Hilton Jones **Document generated** Tue, 3rd Feb 2026 11:30:43 GMT **Document fingerprint** b6917b8e05e4f9bb1672aa8682bd59f4 

## **Parties involved with this document** 

**Document processed Party + Fingerprint** Tue, 3rd Feb 2026 15:22:42 GMT Mr Robert Ian Lloyd Jones  - Signer (a2548098222223af0945e7d06ae78961) 

## **Audit history log** 

## **Date** 

## **Action** 

Tue, 3rd Feb 2026 11:30:43 GMT Envelope generated with fingerprint c1627020ce48470ed690c960b8778f4c (35.176.231.177) Tue, 3rd Feb 2026 11:30:43 GMT Document generated with fingerprint b6917b8e05e4f9bb1672aa8682bd59f4. (35.176.231.177) Tue, 3rd Feb 2026 11:30:43 GMT Document generated with fingerprint 80be39f904b3f433a1aaaff0342d0633. (35.176.231.177) Tue, 3rd Feb 2026 11:30:43 GMT Mr Robert Ian Lloyd Jones  has been assigned to this envelope. (35.176.231.177) Tue, 3rd Feb 2026 11:30:43 GMT Envelope has been set to automatically remind the active signer every 7 day(s). (35.176.231.177) Tue, 3rd Feb 2026 11:30:53 GMT Envelope generated Tue, 3rd Feb 2026 11:30:53 GMT Sent the envelope to Mr Robert Ian Lloyd Jones for signing Tue, 3rd Feb 2026 11:30:54 GMT Document emailed to party email Tue, 3rd Feb 2026 14:34:03 GMT Mr Robert Ian Lloyd Jones  viewed the envelope (165.120.181.143) Tue, 3rd Feb 2026 15:22:42 GMT Mr Robert Ian Lloyd Jones  signed the envelope (165.120.181.143) Tue, 3rd Feb 2026 15:22:42 GMT This envelope has been signed by all parties (165.120.181.143) Tue, 3rd Feb 2026 15:22:42 GMT Signed document confirmation emailed to party email (165.120.181.143) Tue, 3rd Feb 2026 15:22:42 GMT Signed document confirmation emails have been sent to all parties. Document URL: 

https://api.signable.app/shareable/envelope?t=77cc73cb-8d5d-4bac-b6539535046d24e3 (165.120.181.143) 

