Ch￿ity registration number.. 1187044
Friends of Bennerley Viaduct
Annual Report and FAnaDGial Statement5
for the Year Endcd 31 Murth 2025
Community AccouTh¢ing Plus
Unit$ l & 2 North West
41 Talbot Street
Nottin8ham
NGI 5GL

Friends of Bennerley Viaduct
Contents (continued>
Reference and Administr*ive Detsils
Trnstee5' R¢port
2to5
St*meArt of Tn￿le¢s, Resw)Dsibiliti¢s
tnd¢pendcnt Examitiels Report
St#temcDt of Fina￿la] Aclivities
8t09
Balance Sheet
10
Cash Flow Stal¢ment
No¢¢s to the Financial Sta¢¢rnertts
12to22

Friends of Bennerley Viaduct
Reference ¥dnd AdministrathFe Detai
Trustee9
Melvin Bailey. Co Chair and Tre&%urer
James Dawson, Co Chair
Jokn Scryton
Ronald Yet
William Tomson
Glynn IA)
Sarah Adams
Hel¢na Russell
Ch#rity ReprtrAtlon Number
1187044
Principal Olltee
Castledine House
5-9 H¢hnor Road
Llkeston
Derbyshire
DE7 8DY
Independent Euminer
Eva St¢v¢ns, employee of
Commuttiry Aecountin8 Plus
Units l & 2 North West
41 Taibot Strttt
NGI SGL
nktn
HSBC
26 Clumber Str¢¢t
Nottin8bam
NGI 3GA
The CoopeThtive Bank
Business Custom¢r S¢rvi¢¢s
PO BOX 4931
Swindon
SN4 4PL
Pag¢ I

Friends of Bennerley Viaduct
Trusteesl Report
The trustees present the annuhl reFQrt togeth¢T with the fin￿￿]81 ststemetrts of th¢ charity for the year ended 31
MaKh 2025.
Trnstees and offittrn
The trustees 8nd oificers s¢Thing during the year and since the year end were as follows:
TNst¢es.'
Melvin Bailey, Co Chair and Trca51]rer
James Dawson, Co Chgir
John Scnrton
Ronald Yee
Williom TorAson
Glynn Lowth
Sarah Adams (appointed 15 Juty 2025)
H¢l¢na Russ¢ll (aprKJinted 18 Sept¢mber 2025)
Elizabeth Woledge. Vi¢¢ Chair {reSig￿d 26 O¢tob¢r 2024)
Nick Tool¢y IresisDEd 16 July 2025)
IVthtsir¢ ofgovernins docMmev¢
The ¢harity ig operated widerthe rules of its ¢onstity¢ion adopt¢d 19 Deccrnber 2019 and rnost rccentiy *n¢nd¢d
12M&y2021.
Reeruilmewl a￿dapPOIn¢￿en¢0ftrm￿tC￿F
The Friends of Bennetqey liaduct cary out a ski115 Èudit of current tr￿￿e¢S whid) identifics knowledge gaps
within the board and then o¢tively tskes steps to TecTUit truste¢s a¢cordin81y.
In order to bewm¢ familiax with th¢ PT¥CtiGai work of the charity, Irustees rective a copy of th¢ #nnuai report.
the constiwtion and the latest fin8n¢ial reports. together with being assigned a buddy (a mentor from the existing
trustee board). Th¢y will a150 meet with th¢ Operatiolls Dir¢ctor and txisting tryst¢¢5 as w¢ll a8 being offered
opw¥rtunities to visit with the staff team.
uMdtrolKl*g oftr¥slee5
Additionally, they are invited to attend induction trdining Mthich covets the following ar¢&%'.
Governance.
b. The ¢onstitution.
C. Training and support.
d. Roles and responsibilities.
t. CoDmiunicatio
f. The charity's policies and best pra￿1￿ guides.
g. The FOBV business plan.
h. The risk register.
AII tN$te¢$ are then signposted to any thher rd¢vant training throughout the year.
Pa8e 2

Friends of Bettnerley Viaduct
Trustees, Report (Continued)
ArpohgementsforsettinK m#MugenwRlpersonNel rehwNerarfo
Pay of the Operation$ Director is set by rcviewing other ¢haritie5 Pay structure to ensure that we are paying a
salary which is consistent with the current conditions.
Oryonisollomolslrneiure
The ttwtees m¢¢t every two months and recendy this has been every ttM)nth du¢ to the work oll the eastern ramp
nd visitor centre. Decisions are made at these thjstee's meetings Imrt also th¢ membeTS are invo]ved in dKisi¢)n
making at meetings that are held on a regular basis.
ObJertlve8 Adiviti
Obie£tr qln&
Th¢ objects of the CIO are".
3.1) To promote for the benefit of the publie the wnservati¢)n protection and improvernent of th¢ BenD¢TIry
Viaduct and the su￿UndIng or¢a'
3.21 To advan¢¢ the education of th¢ public iti the COD5ervatiO￿ PTOte¢tion and improvement of the B¢nn¢rley
Viaduct and th¢ surr04Uhdin8 arew.
AdlvldeJ
Lh]ring th¢ year the Charity undertaken the followiti8 Aetiviti¢s:
. Continued to m8n2ge on the substsntial ptt>je¢l of building the Eastern RattLP, a]ong with a NEW Visitor Centre
and Car Pa]k. Thi5 was fimded by tbe I£velling Up Fund now Government Funde4 in conjunction with
BTOXtowe Borough Council.
. Managed the fall out of th¢ lack of mat¢rial to build the rdmp, and the failure of th¢ first attempt at
construction, managing Ill stakeholdcrs to m2illtain momenlum on the project aTLd k¢¢p Broxtowe Borough
Council on side.
. Cothinued to nMDage th¢ fimding from Sevem Trentforth¢ project'￿eneath the Bridge: thc life and pty)ple of
B¢nnerl¢y MaT5h."
. Continued to eDban¢e the ¢ollknrdtion witb the locat ¢ommuDity by puttiDg on ￿etsts ott And underneath the
Viaduct during th¢ y¢ar some of which have been fund¢d by various Ch¥ri¢i¢s and orgatiisations.
Maintaining a good relatiortship with our m¢mbets includin8 publishiDg a highly inforniativ¢ monthly
ncwsletter.
• CothiDuoa to work with Volutttetrs ITh¢ Friends) to maTtrt8in 2nd ¢Dh￿¢t the Viaduct and the 5uTroutr￿inB
Supplied Merchandis¢ to sell to the publie including a book about the history of the vI￿￿¢t writtett by J¢ff
Winch. John ScrlltoTh ¢onttnued 85 chllir ofthe ITUSt¢es during the financial year 202415, overse¢ing the complex
Project to build th¢ r8mp, visitor and car p3rL whtlst continuing kn employ three stsff 4nd gain valuable support
from Broxtowe Borough Council.
P¥bUc beneJ71
The trnstee5 confirnj that thry h&ve complied with th¢ JrquiremEnts of section 17 of the ChaTitie$ Act 2011 to
bav¢ due Trgard io the public b￿tfit guidwJc¢ published by the Charity Commission for En8lw)d and Wales.
Pa8e 3

Friends of Bennerley Viiduet
Trustees, Report (continued)
Use t>lvolHlliÈers
Friend5 of Bennerl¢y Vlad￿t rely on th¢ input of its volunteers to carry out ¢wntial tasks in¢ludinB the
following=
Maintaining the viaduct;
Maintsining the area under the viadu¢L including its pathways and natural biodiv¢rsity'
Providing guided wa]ks,'
Sdling merchandise.
As g r¢sult of the abov¢ The Friends of B¢nn¢rley Viaduct could not exist without its volunt¢¢rs.
Aeklevem¢Dts oHd performADce
• The viaduct wntit)u¢s to be open for public use and is enjoyed and used by walkcrs and ¢y¢li$ts from neAr 8nd
far, despite the eastern end being closed to enable the rnmp CODStruction. Managing effectively the frnstMion
frlt by the trusteC5, m¢mb¢rs and voluntem ¢allsed by problems and deals with constTuction.
FOBV h&$ continued to maitttain its clL8ritable statsis. and follows the guidot)ce issued by the Charity
ComEni5sion. It is a Charitable in¢orporated orgonisatiOD. ope￿Ing utthr g cvn5ti1ution available to all.
. A 99-year lew is in place between Railway P8ths Ltd (RPL) and FOBV enabling FOBV to have gre&¢¢r
cotKrol ond influence over the m8n8getn¢nt and developmenl of the Vlad￿t. This sI￿d on June 2thh 2022.
RPL Temain re5ponsibl¢ for the maint¢narKe of the structure of the viaduct.
. The N￿lO￿aL b)tt¢ry Heritagc Fund INLHF) Bridging th¢ Gap proje¢t succe5$fully Completed in Mar¢h
2023, having established and dcyeloped th¢ Charity Wtth the appointment of 3 s¢8ff to ¢xplor¢ the opportunitie5
to develop a ran8¢ of activities at the viadu¢ explore the firture finan¢i81 viability of FOBV, develop the
resilien¢e and sustainability of the organisotion. The charity ¢ontinues to fiuhd the rtaff posts Gre￿¢d by this
project. aDd look to apply for a fvTther lottcry fi￿ded project irt 2025, continuing th¢ MoMen￿M created onc¢
the ￿nStn￿tiOn of the ea5t¢m ramp, visitor centre and car park is finalised.
. FOBV has partnered with KimbeTl¢y Towryj Coun¢il and Broxtowe Borough Council to gain a Levelling Up
grant from the then Departtneni for Lev¢lling Up. Housing and Communities IDLUHC). This was announced in
January 2023, so that FOBV i5 able to ¢onstruct easi¢m ramp, visitor ¢eThtre and car pw*ing. An architect #nd
planning consUlt9￿t were apwinied And a planning application ac¢¢pled in late 2023. Extensive
negotiations a￿d consultstions took place with thjstees. members and volu￿ters, RPL and Harworth Esta*$ aDd
Broxlowe Borou8h Council. Successful negotiations have tsk¢n place with Harworth regarding the potential
fi]ture transfrr of land at the eastern end of the viadu¢t to the Friends for the erection of th¢ ramp, visitor ¢entre
gnd park. These Should be wtnpl¢t¢d by October 2025.
Work to complete phase l of the proJ￿t to build the ramp continues, following a tendering process in 2023 and
problem5 encouiitered durin8 constru¢tion. Work on phase 2 of the project to bulld the visitor centre 4nd ¢ar
pwk commenced in September 2024 after another tend¢rin8 proce5S.
. FOB ￿ continues to benefit fTom an active and engag￿ m¢mb¢rship and a numb¢r of active volunte¢rs, without
which it wuld not fjjnction.
. AnothEr $u¢¢¢$$ful application has b¢¢n made io Sev¢rn T￿￿1 for fiffther ￿ndIng io d¢v¢lop the nature rr5en'¢
undeT the viadu¢t, ¢alled "Beneath the Bridge.. the lif¢ and people of Bennerley Marsh" £67,307 ha5 bcen
r¢c¢ived from The Severn Trent Community Fund. WO￿ continucs on this project.
. Th¢ POB V fin8rt¢iai rewt for 24125 Iw been circul&ta with the AGM papers. tt shows FOBV to b¢ in 50und
financial health.
Pag¢ 4

Friends of Bennerley Viaduct
Trustee8' Report (eontiDued)
Fln#Dei#l review
Total income for tho yetr ￿nCre￿ed from £268.396 tts £733,548. This is due to the fimds r¢c¢iv¢d from
Broxtow¢ Borough Council in respect of the IKvrllin8 Up Fund, now Government Funditig. This is to be used
to constrnth the Elstem Ramp. provision of avisitor ccntsr znd a ¢axpark.
Expenditure h&8 de¢r¢as¢d from £148,048 to £91,448. The re&8on for the decre&8e in ¢xp¢nditure. compared
with income És th¢ f8¢t that much of th¢ ¢xp¢nditure during the year has been treated a5 fixed assets, as it relates
to the profc5sion81 fte8 and ￿nstruCtion Costs in rcspcct of the Visilor Centre. The oth¢T re￿0￿ for the de¢rease
is that th¢ Bridging the Gap projectwas completed in the year enda 31 March 2024.
The unrestricted fund$ hav¢ decreased by £5,873 and free reserves now am0￿1 to £41,659 (2024.. £46,174).
Fixed assets have increased ¢onsi&rably due to ¢apita]ising the pTof¢ssionai fee5 and constrt￿tIOn costs the
Eastern Romp and Visitor centrc project. Ekbtors included an amount due from the National Herilage Lottery
Fund in the previous year. The bank balanc* hgs inereag&4 considerably due to holding monty Éo be speni OD the
istruction of the visitor centre. Deferred income of £413,758 has been providcd for the proje¢t based on the
perfomianee of the ¢ompl¢tion of the contract whi¢h will take plate in the year ¢nded 31 March 2026.
Pollty ru¢rv&r
The trustees fcel ihat they should hold £20,000 a5 fre¢ reserv¢$. As the free r¢serve8 CUtr¢ntly wnount to
£41,659 then that target is cutyently bein8 meL
Mojor oRdm4nq¥ementofthL•s¢rtsks
Significant external risk8 to in¢ome are eontinually reviewed to ¢nsur¢ suffi¢i¢nt futhl$ ar¢ in place. tntern81
riskg miwmi%d by the impl*ttentstion of procedures for athhDrisation of all transa¢tion5 to ensure
co￿lS1ent quality of delivery for ail operational aspects of th¢ ¢harity. These pro¢edures are periodicaily
reviewed to ensur¢ that thry still meet th¢ ne¢ds of the charity. The bosrd of hav¢ a risk map whi¢h is
r¢vi¢w¢d at trustees Meeti￿ to ensujr that Lt is up to dak aThd includes all the risks faced by the charity.
Plalls for htllrt periods
andky obiedlvuf&rfylAreperio
Th¢ trustees are looking fotW8rd to rulhning th¢ visitor ¢entre inch￿1#% the c8r park and developing the area
along with Broxtowe Borough Council #nd Haworth Eststes. As fiuMlin8 is ¢xtr¢m¢ly tighL the trllstees will b¢
endeavouring to se¢ur¢ firture fiEDdiMs for prOj￿ts which involve both th¢ Viadu¢t and the visitor centre.
Page 5

Friends of Bennerley Viaduct
Statement of Tru5tee8' Re8poDsibllities
The trusttts are responsible for preparing the trusts¢s' r¢port and the financial Stat￿)ents in accordan¢e with th¢
United Kingdom Ac¢ouoling Standards (United Kingdom Gencrnily Accepted A￿UntiTr¥ Practice) and
&pplicabl¢ I￿ and regulations.
The law appli¢able to charities requireg the tNst¢¢s to prepare fmanci41 statements for each finaD¢ial year which
give a iTUe athd fair view of the stste of affairs of th¢ ¢harity and of the incoming resourcLs and appli¢ation of
r¢sources of the clwity for thai period. In preparing these fu)anGial stst¢menL% the thJste¢5 Are required to..
sele¢t suitable actounting policies and then apply them ￿nSistentIy.
obse￿¢ the OJeth¢)ds attd principles in the Charities SORP.
make judgcrnents and ¢stimates thai ar¢ r¢asonable and pNdenl
state Wheth￿ applicable ac¢ountin8 Stattdards hav¢ been followe4 Subject to aDy material deparlures
disclosed smd explained in the financial statementy; 8nd
prepar¢ the fmanrial statements on th¢ goiDg conc¢rn basis Unless it is in8ppropriat¢ to tffe5urne th&1 the
charity will coThtinue itt busin¢58.
The trustees are responsibl¢ for keeping proper acwunting records that disc105¢ with reasonable ac¢urdCy at any
time th¢ finaneiki position of the charity and enable them to ensure that the ruW￿la1 st8tem¢nts wmply with the
Chariti¢s Act 2011, the Charities {A¢￿u￿tS and Repo￿} Regulations 2008, and th¢ provisions of the
r￿nStitirtLO￿. The trustees ar¢ also responsible for safeguarding the ￿Sets of the charity and hence for t*kiti8
reasonable st¢ps for the prevention and detection of fraud and other irregularities.
The trustees w¢ re8ponsible for th¢ maintenan¢¢ and integrity of the ¢orporat¢ and f￿arL¢1￿] inforn)alK)n
includcd on the Charitable compatsy's wcb5it¢. Legislation governing the prepavation and dissemination of
fingJ)¢ial ststements tnay differ from legislalion in other jurisdictions.
Approved by the tNsiees of the charity OJ) ...... ..... .....
. and signed ott its behalf by..
Jam¢s Dawson
Trustee
Pag¢ 6

Friends of B¢nnerley Viaduct
Independent Euminerl8 Report to the trustees of Friends of Bennerley Viaduct
IDdepelldent tx*mlDer's report ts the trnstees of Friends of BenDerleyVIAdurt
I report to th¢ trustee5 on ]Dy examin*ion of the acwunts of Friends of Bennerley Viadurt (the Charity) for the
year ended 31 March 2025.
R¢8ponslbUllles and ￿S1$ of report
As the trustees of the you are reS￿nSible th¢ pT¢patatiOll of the a¢¢owits in 8ceordan¢e with the
requirements ofthe Charities Act 2011 Cthe Art.).
I r¢port in r¢spxt of my examination of ihe Charity's attounts ehrried out ullder s¢¢titsn 145 of th¢ 2011 A¢t
in Lwing out my examination I h2ve followed the 4)plicable directions given by th¢ Charity
Conunission under section 145(5Xb} of the Act.
IDdependeDt ¢i•miner'$ stst¢mellt
Sin¢e the ch￿Ity'S gross income exceeded £250.000 your &xamin¢r must b¢ a membcr of a body listed in
sKtion 145 of the 2011 Act. I Confirm that l am qua]ified to undertake the examination because l am a m¢tnber
of th¢ Charte￿d Institttte ofPublic Finattce aDd AKountan¢y (C]PFA), which is one of the listed bodies.
I have completed tny examination. I cotLfum that no m&tt¢Ts hav¢ come to my attention ia ¢omie¢tion with th¢
exHmiD&tion 8iVtn8 me cause to believe thot in any material respect..
l. ac¢¥Jwitin8 re¢ords w¢r¢ kept in respect of the Clwity Ys Tequired by s¢di¢)n 130 ofthe Aetr, or
2. the accounts do not &ccord with those tt¢ords' or
3. the acco￿)ts do not wmply with th¢ a¢￿U￿1]llg requirern¢nts ￿n￿Ing th¢ forni and content of accounts
s¢t out itb the Ch&ritie5 (Accounts aDd Re￿rt4} Regulations 2008 oth¢r than #ty requirem¢nt that the
accounts give a'true and fairf view which is not amatter ¢onsider¢d a5 part of indetwdent ¢xaminalioD.
I hov¢ no ¢on¢ems and have COllL¢ arr055 no other Matters in co]Jnection with the examin￿lon to which attention
should be drawn in this r¢port in order to enable a proper und¢rstanding of the a￿¢)Unts to be reached.
Eva Steve
, BSC. CPFA. ttnploycc of Community Accountin8 Plus
monber of the Chartered Institute of Pyblic Fin4nc¢ and A¢counthcy (CtPFA}
Units l & 2 North W¢5¢
41 Talbot Street
Nottingham
NGI 5GL
1911112025
Pase 7

Friends of Bennerley Viaduct
Statement of Financial Adivities for tbe Year Ended 31 March 2025
Totsl
21125
Totsl
2D24
UDrutricted
Restricted
Note
In¢orne and EndowD)ents from:
th)nations and legacies
Charitable activities
Other trading ictivities
Inv¢stmenl income
4.455
14.495
2,870
4,455
724202
1870
2.021
6.116
257.102
4,048
1,130
709.707
Tot&1 lttcome
23,841
709.707
733,548
268.396
Expenditure on:
Raising fvnds
c￿￿Titsb1¢ activities
{1,747)
(35,135
{50)
54,516
(1.797)
(4.5771
(143,471)
Totd Expendilure
Net (expenditureyinme
GTOS5 transfers bctwcrn funds
36.882
54.566
91.448
148,0481
(13,041)
7.168
655.141
(7,1681
642,l¢JO
120,348
Net movement &ll ffiJnd8
{5,873)
647,973
642,100
120,348
R¢¢oneiliation of fun
Toial fund5 broughi fornvard
49,280
150,817
79,749
Total funds catti¢d fornvoTd
20
43.407
200,097
All of the ¢h8rity's activities derive from wntinwng operation5 during the &bov¢ two periods.
The fund5 brcakdowt) for the p¢riod is thown in note 20.
The notes on pages 12 to 22 form an integral part of th¢se financial statements.
Page 8

Friends of Bennerley Viaduct
Statement of Financial Activitie$ for the Ye*r Ended 31 Mg4r¢h 2025 (continued)
Th¢¥¢ 4r¢ the figures lor the previous afcovlltiDg perffiod are ineluded for eompar*tiYe purptss¢s only
Total
21124
UnrestrSrted
Rtatricted
Note
Intome #nd EDdowthettts from:
lkntie￿s and le8acies
Cbarltable activities
Othtttradin8 aetivilie5
]nvestment income
6.116
10.052
4,048
1,130
6.116
257.102
4,048
1,130
247,050
Total Income
21,346
247.050
268,396
EJpenditure OD:
BAisiDg fund5
Charitabl¢ activili¢5
(1.877)
18,153
{2,7001
125.3181
(4.577)
143,471
Total ExwiditutE
20.030)
(128,018
(148.IM8
N¢t jnwme
1,316
3.145
119,032
3,145
120.348
Net movement in fimds
4,461
115,887
120.348
Reeoll¢ili*tion of funds
Total fund5 brou8ht foThvard
Totsl funds Carried forward
44.819
34,930
79,749
20
49,280
150,817
200.097
The note5 on pages 12 10 22 form an integral part of these financial st*ments.
Page 9

Friends of Bennerley Viudu¢¢
(RegistratlOD number: 1187044)
BAlanee Sheet as at 31 March 2025
2O2S
2024
Note
Ftsed assets
Tangible ￿¢ts
13
752.050
121283
CMrr¢n¢ 485¢ts
Sto¢k8
Debtors
Cash at bat)k and in band
14
1,435
21,792
513,057
518
37.165
46.372
15
16
536,284
84.055
Creditort: AmouDts f*lling du* one year
17
417,188
152411
Net evrrent assets
119,096
78.814
Totsl ￿ets lesj current li*billtles
871.146
200.097
Creditstrn: Amounts f*lling due gfter nwre fb￿ oDt year
Is
(28,949
842,197
Net a$Jets
200,097
Funds ofthe th&rlty:
Restrletrd ineome
Restricted funds
798,790
150,817
Unre8trlcted In￿Me fuDdg
Ut)T¢stri¢t¢d
49,280
T1￿1 fundry
20
842,197
200.097
ial stat¢mettts on pag¢s 8 to 22 w¢T¢ approved by the tntyt¢¢s, and authcriscd for is&￿ on
. and sigtted on their behalf by:
Melvin Bailey
Th¢ notrJ on pages 12 to 22 fom) an ititegral part of thc5e financial stthments.
Pa8e 10

Friends of Bennerley Viaduct
Cash Flow Statemenl for the Year Ended 31 Marcb 2025
2025
2024
C*sh lloyn fronj optr¥Jtin8 activities
inwm¢
642.100
120,348
Ad1￿11￿ents to cath flows from Item•
583
2,021}
640.662
583
1,1301
InvestDWIt incorne
119,801
Worklng capltgl idJll8lmellts
IIn¢reaseyde¢re&s¢ in stocks
Decre8sel{incre&8e) in debtors
lrtcrease in ereditor5
Incretse in deferffed inwme
14
15
17
18
(917)
15.373
27.138
413,758
764
125,078)
382
Net cash flow$ frojn operating activities
C•$b flows from investint #etivities
Interest receivable and similar income
PuTEha5e of tangble fixd assets
N¢t cash flows from investing activities
,096.014
95,869
2,021
(631 J50
1,130
(l E8,075)
13
1629.329}
(116,945
Net incrwcl{decre&8e) in cpsh alhd equtvalents
Cash and ¢ash equivalents at l April
C&8h and equivalents at 31 Ma￿h
466,685
(21.076)
46,372
67.448
513.057
46,372
Reconciliation of Det cAsh flow to movtment ill net fvnds
In¢reas&l{de¢rease) in Cash
466,685
(21,076)
67,448
Net funds At l April 2024
Net fund5 at 31 March 2025
46.372
513,057
46,372
All of th¢ ¢ash flows are derived frotn Gontinuing operation5 duTiD8 the above two periods.
Th¢ notes on pages 12 to 22 forni an inte￿￿ pirt of these fjnanciai stat¢m¢nts.
Pa8¢ 11

Fri¢nd$ of Bennerley Viaduct
Notes to the Financial St*tsmeDts for the Year Ended 31 March 2025
l Accounting poliries
Ststement of compliance
The financial ststem¢nts have been prepared in 4ccordan¢¢ with the second edition of the Charities St4t¢ment of
RccommeDded Pra¢ti¢e issued in October 2019. tbe Finan¢ial Rerx)rtin8 Standard applicable in the Unikd
Kingdom and Republi¢ of Ir¢laThd (FRS 1021 aTMI the Chtirities A¢t 2011.
Ba819 of pr¢paT8tIo
Friends of B¢nn¢rl¢y Viadud m¢¢ts the definition of a public benefit entity undcr FRS 102. Ass¢ts and
liabilitie$ are initially re¢ognis¢d at historical ￿st or IT¥￿s￿¢t101) value unl￿5 othmvisc Stated in the relevant
aryountiThg policy note5.
Going CQD£ern
Tr financid sthtements have been pr¢par¢d on a ¥oin8 con¢¢rn basi$.
The Irustces a5se5s whether the use of goin8 concern is appropriat¢ i.e. whether there are any m&ierial
un¢¢rtainti&8 related to ever￿ or wnditions that may ca5É 5igDificani doubl on th¢ ability of the ¢harity to
tinue as a going concern. The I￿￿te¢S m8Jte this ass¢5Sm¢llt iti respect of a period of one y¢u frotD the date
of approva] of th¢ finon¢ial Statements.
At 31 Mareh 2025 the Charity had free reserve5 of £41.659. The trust¢¢$ feel th￿ this 15 sufficienl provided that
it can be maintsincd at that level for the charity to continue for one y¢ar from the date of approvithg the
c¢ounts. The tn]5tee5 also rectsgnise that fundinK will k required for the rut￿]ng of the vi51tor Gentre and are
therefore seeking additional fuDds to seru￿ the ¢harity in the firture and a]so provid¢ suffi¢i¢nt working capital
forthr runniog of the visitor (%ntrt.
ltseome #Thd endowm¢Trts
Voluntory incorne including donations, gifts. l¢gacieB and 8rdnts that provide ¢ore fijnding or art of a 8eneJ¥l
ature is r¢cognised when the charity has entitlement to thc In￿)me. it is probable that th¢ inwme will be
reGeived attd the amount can be me8sur¢d with 5uffi¢ient reliability.
4ndlegacle%
Donations and Itgacies are reco8nised OD a r¢ceivable Imsis when receipt is probabl¢ and the amouni can be
reliably Me￿￿￿d.
Grnnts receIV￿bIt
Grants are recognised when the charity bas an entit]emeni to lh¢ funds and any conditions linked to the grat)ts
hav¢ be¢n met. Where pcrfomante conditions aTC attached to the grant and are yet to be met. the ittcome is
recognised as a liability and included on th¢ balanee shed as defetred income to be ￿leased.
DeferrediNcome
Ikferred income repres¢M$ amounts received for future periods and is relea4ed to incoming rewurces in the
nod for which, it iw been received. Swh ineome is only d¢ferred when:
. The donor sp¢¢ifi¢s that the gmt or donation must only be used in firture ￿ts￿nting periods,. or
. The donoT has imposed conditiorts which must be met bcfore the dharity has unconditional entitlement.
P4ge 12

Friends of Bennerley Viaduct
Notey to the Financial Statements for the Year Ended 31 March 2025 {¢ontinued)
E4)eDditu
All expcnditure is recognised on¢¢ th¢r¢ is a legal or ConSt￿Ctive obligation to that expellditure, it is probabl¢
settlement 18 requitEd and the amounl be rneasured reliably. All costs are 8lloc2ted to the appjicable
expenditure h¢ading that aggregates similar costs to that category. Where costs ¢*nrEot b¢ directly atiributed to
particular h¢adillg5 they hgve been allocated on a basis ¢on$islent with the use of resour¢es, with central stsff
costs allo¢aied on the knis ol time spent, and depreciation charge$ allocatrd on the portion of the asset's use.
Other support eosts are all￿*d based on the spre&d of staff costs.
RoLfl#gfvxds
These arc costs incutred in attractiD8 voluntary in¢ome. the matt4ement of investments and thos¢ incurred in
trading activitie5 that raise filnds.
Charitable expertditurt eomprise5 th03¢ ¢osts incurred by thr charity in thc delivery of its a¢tAvities and s¢rvi¢es
for its benefici4ri45. It includes iK*th costs that can be allocated dirxt]y to such activities and thos¢ ¢osts of ID
indirect natwe necessary to support ttkm.
Gov¢rDIDeDt gr#Dts
&)vernm¢rtt grants are reco￿]sed based on the accrual nM)del and are rn￿￿¢d at the fair valu¢ of the 93set
received or r¢cetYabl¢. Grants Classified as relating either to revenue or to &s$ets. Grants relating to revenue
ar¢ re¢ognis¢d in income over the period in which the r¢lat¢d costs ar¢ recognised. Grants relating io ￿Sets are
T¢￿g￿lS¢d over the expected useful life of the Wh¢T¢ part of a grant relating to an wset 1$ def¢rr¢d. it is
¢ogni5d a5 dEf￿[¢d income.
T*xAtio
Th¢ ¢harity is wnsidered to pas5 the tests set out in Paragraph I S¢hethile 6 tsf the Financ¢ AL* 2010 and
therefore it meets the definition of a cbaritabl¢ Company for iJK ¢orporation t&x purposes. Accordit)gly, the
¢harity is ptstentia]ty exempt from t2x*ion in resp¢¢t of tncome or capi￿] gains received within ¢ategorie$
eovered by Ch￿ttr 3 Part i i of the Corporation Tax AGt 2010 or Scction 256 of the Taxation of Ch8rgeabl¢
Gains Act 1992, to the extent that such ineome or gains are applied exclusively to charitable purposes.
T8ngible fixtd assets
]ndividua] fixed assets costin8 £1.000.00 or more 4r¢ initially rrcorded at cost.
Depreei*iion •mortisalioD
Depr￿lation is provided on tangibl¢ fix¢d assets 50 AS to TNrite off cost or valuE4tioN lus at]y estimated
T￿idUAl value. over their eXp￿ted U￿fvI e¢onomi¢ life as follows:
Depred*tloll ￿￿th￿d and rate
5 yeat¥ straight lin¢
In the course of ¢onsIn￿tIo￿ tb¢r¢for¢ no
depreciation
General ¢quipment
IAnd and buildings
Stotk
Stock is valued at the lower of wst atMI ¢s¢irnated selling price less costs to ¢ompl¢te ond sell. after due regard
forobsolete and slow Thvins Jto¢k$. Cos¢ is d¢t¢rn)in¢d using the first-in. fith￿ut (FIFO).
P88e 13

Friends of BenDerley Viaduct
Iyotes to the Financial Statements for the Year Ended 31 Mareh 2025 I¢oAtinued)
Trnde deb¢0
Trade debtors are amounts du¢ from Gustomers for merchandise sold or s¢rvi¢es p¢rfoTmed in the ordin
urse of busine5S.
Trade debtors gre recognised initi￿ty at the tTaDsaction pric¢. They ar¢ subs¢quently measured at 4mortised cosl
sing the eff¢¢tive interest metho& less provision for impatrrn¢nt. A provision for the lmpaimie￿t of debtors is
established Nthen th¢r¢ 15 objective evid¢n¢e that the charity will not b¢ abl¢ lo wllect ￿1 ￿outtts du¢
according to the original lern15 of the r¢c¢ivables.
C•sFL And cAsh equiv*ltDts
CAth and ¢ash equivalents cimnprise ¢4sh on hand and call deposits. and other short-tetm highly liquid
iTrve5tmeDts that ar¢ readily convertiblc lo a known wnount of Cash and are subject lo aD in5igDifieant risk of
change in value.
Tr*de credilors
Trade ¢reditors 2r¢ obligatiODs lo pay for goods or SeTViC¢5 that have b¢¢n aquired in the ordinary course of
business from suppli¢rn. Accounts payable are ¢lassified 8$ cfftnt liabiliiies if the charity docs not have an
un¢ondTtiona] right, at th¢ end of the reportin8 ￿riod. lo d¢f¢r settlement of the creditor for 91 least twelve
months after the TeportiDg date. If th¢r¢ is U￿COndItiOnal righi to defer 5ettjern￿È foi at least Iwelve months
after the r¢pOrt1￿ date, they are presented as llon-cumt liabilities.
TYAde creditors are rccogn15ed initially at th¢ transaction pri¢e subsequ¢nily measured at amortised wst
sitig the effective interest method.
Fund strutture
Unre5trithd in￿rne funds art general fimds that are 4v8ilable for use at th¢ th15t¢¢s' dijorelion in firf]eran¢¢ of
the objectives of the ch￿lty.
Restricted incornr funds are those donated for usc in & particular area or for specific purposw, the use of whith
is r¢stricted to that area or purpose.
PeDsAtsns othèr post retiremtDt obliggtions
The ¢harity operates a d¢fin¢d contribution pensitsn s¢heme which L5 ll pension plan und¢r which fixed
¢ontribution5 are paid into a pension fimd and the charity tjo l¢gal or congtructive obligation to pay fi]rth¢r
contribution5 evEn if the do￿ not hold sufficient assets to pay all employees the benefits r¢lating lo
employe¢ service in the CUfTent and PriOT periods.
Cojjtributions to defined wntribution plans ar¢ JY£o8nised in the Statement of Fin￿¢181 Adivitses when they aTe
due. Lf contribution payments exeeed thc corttribution du¢ for service. the excess is Ye￿￿lSed ￿ a prepayment.
Page 14

Friends of Bennerky Viaduct
Notes to the Financial Ststements for the Year Ended 31 March 2025 (eontinued}
2 Income from don*tions and l¢p¢ie¥
Unrestrlcted
Dd5
Gtneral
Total
2025
Tot*1
2024
Donations and l¢gaci¢s'
Donations from Individuals
Gift aid reclaimed
Granty including c4Filal 8rnms'
2,955
19JS
4,998
126
i.sty)
1.500
992
4.455
4.455
3 Inetsme from dMrhAbie 8etivities
Unrestrltted
funds
G¢ner•l
Restrirt¢d
funds
Total
2Sll5
T•)t&l
2024
Grant5 & donitions
Manog¢m¢nt ¢h8rge
Membership
Other irtcomc
709,707
709.707
i 1,000
3212
283
247,050
9,500
550
11.000
5.212
283
14,495
709,707
724,202
257.102
4 Ineome from othew ¢r4ding a¢tivi¢ies
U]JreJtricted
Dds
G¢ller41
Totil
202S
Total
2024
Trading income;
Sales of goods and seThices
2.870
2,870
4,048
2,870
2,870
4,048
5 Inves¢mettt incotllt
Unrestricted
funds
General
T•tsl
2025
Totsl
2024
I￿£r¢st ￿¢¢IVable omd simiigr income,.
Interest receivable on bank deposits
2.021
2,021
1.130
Page 15

Friends of Bennerky Viaduet
Notes to the FinaDeial Statements for Ihe Year Ended 31 Mar¢h 2025 (continued)
6 Gr&Dts #nd donAtions
Unrestrict
f￿ndS
Re￿￿tted
fuDds
Tfjtsl fun
Broxtowe Borough CounGiI
Severn Tremi Community Fund
Nationa] Lottery Heritage Fund
Individu￿ donations
Er¢wa5h Borough Council
636,242
67,307
5.990
168
636242
67,307
5,990
3,123
iJoo
2.955
I,500
4,455
709.707
714,162
7 ElpeDdi¢u￿ on rAising fullds
4) Costs of trAdlAg a￿vItIeS
Unre5tritttd
Restrlrttd
Dds
Totsl
2025
Totsl
2024
GeD•r*l
Costs of goods sold
1.747
50
,797
4,577
1.747
50
4.577
P4g¢ 16

Friends of Bennerley Viaduct
Noteg to the Fittan¢ial Statements for the Year Ended 31 Mareh 2025 (continued)
8 ExpeDdlthrt eh*rltsble aetivitiel
fund$
Generaj
Totsl
2025
TotAI
21124
ruDds
Audtt & a￿OI>￿t￿)cY
Cleaning
Cojllrnunity eDwemenl
Consultin8
Ente￿inMent
Equipm¢nt & materials
General expenses
1,038
13
5.265
14
67
5.775
56
1.914
690
6J03
27
67
5.775
56
1,919
766
821
1,678
308
5,546
30
10.450
353
2,059
3.842
600
1202
231
326
1,973
20,015
4,682
8.194
76
821
1.258
308
149
1.091
995
IT. softw￿¢ & consumables
PayPal fee5
Postage, freight & ¢owi¢r
Printing & ststionery
Professional advice & services
Promotional evellt costs
Rent & rates
Sit¢ impTovement And other site
420
149
1,136
3,485
45
2.490
5.750
39
5,789
1.711
1,762
3,473
5,561
1.191
2.338
799
1.216
71.280
583
Staff training
SubsLYiptions
Telephone & internet
TT8vel
Wag¢$, Nl & pension$
Depr¢¢iatioD
18
712
180
20.427
583
934
10
242
34.793
952
722
422
55220
583
35.135
54,516
89.65l
143,471
9 Net iDcQmiTr￿OUtg0j￿g rtwurc¢s
Net in￿1￿￿ reSoU￿tS for the year in¢lude.'
2025
2024
Depreciation of fixed ￿Sets
583
583
Page 17

Friend$ of Bennerley Viaduct
Notes to the FinAncial Statements for the Year EDded 31 March 2025 (continy¢d)
10 St*ff Costs
The ag8r¢gate payroll costs as follow$."
Z025
2024
Stsff costs during the year were:
Wages and salaries
Social 8rfurity Costs
P¢nsioD costs
54,397
74238
{3 J781
420
823
55,220
71280
Th¢ Monthly averng¢ number of t¢noffis (including senior management team) employed by the charity during
the ye8r Wds as follows..
2025
2024
No
Av¢rng¢ number of employee$
3 (2024- 1) of the above ¢mploye¢s participated in th¢ D¢fin¢d Contribution P¢nsion S¢hemes.
Contributions to the employee pension Sc1￿cS forth¢ year totsll¢d £823 (2024- £420).
No employee received emolumeths of moT¢ th8n £60,000 dwing the y
11 Independ•Dt examiner's fees
Dwing the period, th¢ fe¢& payable (¢x¢luding VAT) to the chatity's independent examiner are #tt*lysed as
follows..
2015
21124
Independ¢nt ¢x¥mination
865
830
P&g¢ 18

Friends of Bennerley Viaduct
Notes to the Financial Statements for the Year Ended 31 Mar¢h 2025 (CODtinu¢d}
12 T*x*tioll
Th¢ charity 15 a re8i5tered cbwity and is th¢refote exempt from ¢orpornlion tsxation.
13 Tangible fi￿d ssBets
ialld #Dd
buildin
GeDeral
equipment
Totsl
At l April 2024
Additions
I l8.952
631.350
2,914
121,866
631.350
At 31 2Q25
750,302
2,914
753,216
DepTeciAtion
At l April 2024
ChaTg¢ for the year
583
583
583
583
At 31 MaTch 2025
1,166
l%et book value
At 31 M8r¢h 2025
750,302
1,748
751050
At 31 Morch 2024
118,952
2,331
121283
14 Slock
21125
2024
Stock5
1.435
518
IS Dobtor
2025
2014
PTepayinents
Other debtors
3.446
18,346
2.734
34.431
21.792
37.165
16 C8sb ind eash equivalents
2025
2024
28
46.344
Cash at bat)k
512,977
513.057
46.372
Page 19

Friends of BeDnerley Viaduct
Flotes to the Financial StatemeDts for the Year Ended 31 Mareh 2025 (¢ODtinued)
17 Creditors: #mounts f4lling due withiti ye#r
2•25
2024
Trade creditors
Other t&xalion social s¢¢urity
Other ¢r¢ditors
Acfflials
Deferred inctsme
1,195
936
261
1.038
413.758
4,245
417,188
5,241
18 Credilors: *mounts falllDg dllÈ aiftÈr one year
2025
Other creditors
28,949
IY Obiig8tiow under leaJe8 ind kire purch•¥e £ontr*cts
Friends of Bennerl¢y Vigdud hold a lease with Railway Path5 Limited for the land. The le￿¢ is for 99 years
from 20106122 with a peppercorn rent of £1.
2(1 Funds
BaiaDce #t
31 Marth
2025
Balante at I
April 2024
Resources
pended
resources
TraDJfers
Unrestrlcted fun<b
Genernl
General
49.280
23.841
(36,8821
7,168
43,407
Restricted funds
Levelling Up fimd
Bridging the (hp
twood to Bennerl¢y'.
Green vdlL8 hnd tslks for
health
Sev¢m Trent Project
Er¢wash Bridg¢
138,556
10,291
636.242
{11,320}
(9,113)
763.478
(7,168)
1,970
1437)
{33.696)
1.533
33,611
168
168
Total restritled
150,817
709,707
154,566)
7,168)
798,790
Total funds
200,097
733,548
(91.448>
842.197
Page 20

Friends of Bennerley Viaduct
Note8 to the Flnan¢ial Statements for the Yeg4r Ended 31 March 2025 (eontinDed}
BAlirtce It
31 March
2024
BAI*Dee #t I
IDcomlng
April 2023 rt*our
Rtwurtes
txpended
Transfers
Unrestricted fwidB
Genernl
General
44.819
21.346
(20,030)
3.145
49280
Re5tri¢ted
L¢velling Up FJnd
Bridging the Gap
Eashyood to Bentterley:
Gr¢en walks and tslks for
health
Supportwith famity STEM
B¢nnrrl¢y by Bffte
34.930
108.600
131.424
(4,974)
{118.802)
138,556
10,291
(2,331)
1970
iJoo
3J56
1,970
(1,031)
(3311)
(469)
1345)
Total reslrlet•d fund8
34.930
247.050
(128,018)
(3.145)
150.817
Total fuD
79,749
268.396
(148,048)
200.097
The specific purposw for which the fimds areto be applied ore os follows:
L¢v¢lliD8 Up fjJnd- ConstnKiion of Rwnp, Visitor Centre 8t￿ Car Park.
Bridging the Gap - fundittg fiK)m the National IA)ttery H¢ritsg¢ Fund for a two year ptDyatnm¢ of development
and a¢tiviiies'
EastW￿d to Bennerlty: Gr¢en wa]ks and tsjks for health - supporting charities and service usrr5 to cnjoy
B¢nneriey. aE￿ Create a picnic area for families.
8¢vern Trent Proj¢ct- S¢vem Tr¢nt Funding h&% been 8iV¢ll to fut￿ the projed B¢n¢ath the Bridge: the life And
people of Bennerley Marth.
Er¢wash Bridge- fimdxtig for the construction of a ncw bridge over the River Er¢wash next to the vi￿￿¢t.
These restricted funds end¢d in th¢ previous financial yux..
Support with farnily STEM - fundiDg from Erewash Borough CoutLciI for scien¢¢ a¢tiviti¢s #nd events
equipmen(
Bennerlry by Bik¢ - Su5tr8As supporta project to encourage local cyclin& with bike fixes, eyents and guided
route rn4Jping arowid Bennerley.
The trnmsfer from the Bridgll18 the G4> to the Oth¢r8] fimd relates to &¢tivitie5 which have ¢¢ased. the
release of any restri¢tio]Js on th¢ us¢ of these funds.
Page 21

Friend$ of Bennerley Viaducl
Notes to the Financial Statements for the Year Ended 31 March 2025 (continued)
21 ADaJysi$ of net sssets between futhds
Unrestrirt
2025
Totsl t)mds
Restricied
Tangible fLKed ￿ets
Current assets
Current liabilities
CTcditots over l year
1.748
45.089
(3.430)
750,302
491,195
{413,758)
128,9491
752.050
536.284
(417,1881
128,949
Total n¢t ass¢ts
43,407
798.790
842,197
Unr¢strleted
2024
Totsl
General
Restrleted
Tan￿￿1¢ fixed assets
c￿￿ent assets
Current liabilities
3,106
47,768
11,594)
118.177
36,287
(3,647
150,817
121283
84,055
{5,2411
Totsl net assets
49,280
200.097
22 Related pirty tr8n59ctions
During the year th¢ charhty made the following related p•ity traiisa¢tions:
Rogers Spenter
Melvin Bail¢y lTrust¢e) is a Pather at Rogers Spcncer. Rogers Spencer provide the bookkeeping and payroll
seNiGe for the Charity. A total of £5.976 12024.. £6,900) was paid to Rogers Spencer durirt¥ the ye8x, with
£2,490 (2024.. £2,880) of this bEitig foT servi¢¢s in kdvattce.
Work for Friends of Bennerley Viaduct 15 headed by Aii51air AIIc4)ck at Rogers Sp¢n¢¢r.
At the balanc¢ sheei dat¢ th¢ amount due tolfrom Rog¢TS Sp¢Dcer wds £Nil (2024- £Nil).
23 Trnste¢g remllDer*tion and txptiises
Duringthe year th¢ ¢h8rity mad¢ the followillB traA8a¢lions with trLL%tees."
Jvbn S¢rn¢on
£342 (2024.. £7281 of expenses Thrre Teimbursed to Johll S¢Nton during the year.
At the balance sh¢et date the arnouni due ¢0 John Scnrton £Nil (2024.. £481.
No trustees. ttor any Pet￿￿$ cOnD￿ted with them, have recgiv¢d ony remuneration th)m the charity durin8 the
year.
No tntstees hav¢ r￿e1Ved any other bcn¢fits from the charity durin8 the year.
Pog¢ 22