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2025-03-31-accounts

Dfwign Envebpe ID.. ECEE417A4EA74EoE.A851￿sDcB1ES8D04 REGISTERED CHARITY NUMBER: 11881156 REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED31 MARCH 2025 FOR WAKEFJELD PRIDE HÈrrison & Co Charter¢d Accounthnts 531 Denby Dale Road Wesl Caldcr Grove Wakcfjeld Wesi York5hirc WF4 3ND

Drth$¥n Env8kJpe ID.. ECEE417A4EA74EOE-A851Q50CB1EB8D04 WAKEFIELD PRIDE CONTENTS OF THE FINANCIAL STATEMENTS FOR THE I'EAR ENDED 31 MARCH 2025 Page Report of the Trustees ljdependent Ex•rniDer'$ Report Statement of Financial Actlyities Blante Sheet Note5 to the Finantigl StAiements Detiled Statement of FinxncRal Ae¢iiities 10

Drtuslgn Envety ID.. ECEE417A4EA74EoE-A851￿5DC8lEB8D0¢ WAKEFIELD PRIDE REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2025 The Iru51ees presejji their report the financial Statements of ihe charity for the year ended 31 March 2025. The Irustee5 have adopted the PTOI'isions of Accounting and Repo>ninB by Charities". Statement of Recommended Pra¢iice applicablc 10 chariti¢s preparing their accounts in ac¢ordan¢e with the Financ¢al Reporting Standard applicable in the UK and Republic of Irelsnd IFRS 1021 letTeciive 1141nuary 20191. STRUCTURE. GOVERNANCE AND.MANAGEMENT GoverDiDg documeDt The charity Is conirulled by ils 8ov¢rn*n¥ docum¢nl, a deed of trusi aJ]d constitute$ an UrrinfOTporat¢d charity. REFERENCE AND ADMINISTIL4TIVE DETAILS Registered Ch4riti' oumber 1188056 PrinclpAI 4ddress Flai 2 15 BletJheim Road St Johns Wakeficld West YorkshiTe WFI 3JZ Trustet$ Mr M Copcland TreastsTer M5 J King Sccretary (resigned 29.10.24} Mr T Wales (resigned 18.4.241 Mr M B¢achill Mr S Parkinson Chair Indepethdent Examiner Harrison & Co Chartered Accountsnrs 531 Denby Dale Road W¢si Calder Grove Wakefield West YorkSh￿e WF4 3ND Approved by order of Ihe board of tru51e¢5 On 7 January 2026 and SI￿¢￿ on its behalf by.. 3sFI￿lEs7315¢ Mr S Parkinson- Trustee Page I

Docu$vJn Envekjpe IO". ECEE417A4EA74EQE-A851-05DCB1E86004 Ir4DEPENDENT EXAMIYER'S REPOR T TO THE TRUSTEES OF WAKEFIELD PIUDE Independent ex*miner's repori to tht trustees of Wakefield Pride I rcport to ihc ¢hariry tru51ecs on my examination of the accounts of Wakefield Pride (the Trusti for the y¢?r ended 31 March 2025. Re5ponsibilitles and b#$is of rtport A5 the chariry tru51ees of the Trusi you are responsible for the prewation of the accounts in accordance w'ith the reqlliremen15 of the Charities Aci 2011 I'ihe A¢i'i. I rq)ort in respe¢t of my examination of ihc Trust'5 accounts t￿led out wmler S¢ction 145 of the Acl 2nd in carryin8 Qut my examination I have ftsllowed all applicable DireclIons given by Ihe Charity Commission und¢r Scciion 14515llbl of the Atl. IDdepet)deDI ex&miner'$ statement I have complcied my ex2uunaiion. I confirm thai no matcrial matters hav¢ come to my attention ill connection wih Ihe examination gjving me ¢au5e to believe thai in any material respect.. accounting records ￿Te not kept In Te5pect of the TTUSt as required by Seciion IJO of the Act.. or the accounts do noi accord with those records,. or the arcounts do noi cornply the appltcabl¢ requiTeme#ts ronccrning the forn) and ¢onteni of accounts sei out in the Charities (Account5 and Reports) Regbl#iions 2008 other ihan any rcquiremeni that Ihe accounts gil'e a iTUe and fair vtew wqjieh is not a matter considered as p#rt of a]] independent cxaJwThation. I have rho concern5 aJd h?ve come ecross no other matter5 in Col￿eCtIOn the examination 10 ￿.hICh atteniion should be dr2wn in this ieport in order its enable a proper undcrsianding of the at¢ounis io be Teachcd. Sherice Parfin FCCA Harrtson & Co Chartercd Acctsuntanis 531 Denby Dal¢ Road West CaldeT Grov¢ Wakefjeld West Yorkshire WF4 3ND 7 January 2026 Page 2

Dowsi9n Erwekip8 ID.. ECEE417A-6EA74E0E4851￿5DC8lEB8D04 WAKEFIELD PRIDE STATE.MENT OF FINANCIAL ACTJIqTIES FOR THE YEAR ENDED 31 MARCH 2025 2025 Totsl funds 2024 Totsl Unre5tricied fund Re5tricied fund Notes INCOME AND E.NDOWMENTS FROM Donaiion5 and l¢gacies 7.812 15.(Kkl 22.813 54,553 Other tradin8 a¢tivities 44.522 44.522 40,195 Total 52,334 IS,￿*1 67.335 94,748 EXPENDITURE ON Raising fLtt)ds 52.834 28,600 81.434 79,639 ChAritable aetiiitles Fundraising tosts 10.056 10,056 Other (5,527} 15,5271 Tot81 47,307 38,656 85.963 79,639 NET INCOMEIIEXPENDITURE) TrAD$fers between funds 5.027 (3,4161 123.6551 3,416 118,6281 15.109 Net movement ill funds 120.2391 118,628 15.109 RECONCILIATIOP4 OF FUNDS Total fijnds brought forward 15,0581 20.239 72 TOTAL FUNDS CARRIED FORWARD 13.447) {3,4471 CONTINUING OPERA TIONS All income and expenditure has Arisen from continuin8 acliviiies. The notes foml part of these financial staiem¢nt5 Page 3

Dogtsign Env8kJpe ID.. ECEE417A4EA74EOE.A8514)5DCB1EBBD04 WAKEFIELD PRIDE BALANCE SHEET 31 MARCH 2025 2025 Total funds 2024 Total funds Unrestricied fiyjd Restricted fi￿d Notes FIXED ASSETS Tan8ibl¢ a5sei$ 7,315 7.315 CURRENT ASSETS D¢biors Cash ai batth and in hand 157 2.962 157 2,962 21,193 21,193 CREDITORS Amounts falling due within one year 113.881} 113,881) (6,012) NET CURRENT ASSETSIILIABILITIES} (10,7621 (RO.7621 TOTAL ASSETS LESS CURRENT LIABJLITIES 13,4471 13,4471 NET ASSETS 13,447) (3,447} Fufs'DS Unrestri¢i¢d furtds R¢51r1c￿d funds 13,4471 15,0581 20.239 TOTAL FUNDS 13,447 The financial ststements were approved by the Board of Trustees and auihori5ed for issue on 7 January 2026 and were signed on its behalf by.. by." 05BEE44AYEEDI MT M Copeland- Trustee F}5FF￿1E6l34sc Mr S Parkin50n- TNstee ÈIC0859CF2114 Mr M 13eachill . Trnsiee The no￿$ fornj part of these financial staiemenrs Page 4

lkntyJ519n ETrVek)￿ ID.. ECEE417A4EA74EOE.A851-050CBIE88D04 WAKEFIELD PJUDE NOTES TO THE FI￿ANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025 ACCOUNTIPIG POLICIES B15l5 ofprtp#ring the fi￿￿￿£181 stalemeDt5 The financial STatemeni$ of the charity. wthich Is a public benefit entjty under FRS 102, have been prep2red tn ¢cordance with the Charities SORP {FRS 1021 'Accounling and Reporting by Charities.. Siaiefttnl of Reconmjended Practit¢ applicable lo charities preparing their account5 in kr¢ordance with the Financial R¢poning Standard applicable In the UK arld Republic of Ireland ITrRS 1021 leffeciive l January 20191, Financial Reponing Standard 102 The Financial Rcponing Standard applicable ID th¢ UK •)d Republic or Iieland, and th¢ Charitie5 Aci 2011. The f￿￿Or1a1 slalements have b¢¢n prepared undcr the historical c051 cortvenlion. Inrome All income i5 recognised in the Siai¢Jn¢nt of Financial Aciivilies once th¢ charity ha5 ¢iJliilemeni to Ihe fiJnd5, it is probable that the income w211 be received and the amount ¢a]J k rncasw¢d reliably. Expendlture Liabilities ¥e reeognised a5 expenth.turc as soon as there is a legal or constructive obligation committing the Charity to that expenditu￿, it Is probable thai 2 transfer of economic benefits w?11 be requircd in $ettl¢mcni and the amouni of the oblJBaiion can be m¢a5ured r¢li#bly. ExpertditUT¢ is accotsnted tor on an accruals ba515 and has been classified undcr h¢adings iha¢ aggregate ?11 c051 re131ed to the category. Where ¢05ts cannot be d2re¢tly attribuicd io partie￿ar headings they have be¢[ allocakd 10 #diviiies o# a basis consisienl wilh thc use of T¢sources. Tgngible r￿ed ss$ets Dcpretiaiion is provided al the followin8 atjnual rdtes irt Order lo write off each asset over its estimated useful life. Tgx412on The chartty is exempi from tax on it5 charitable activitie5. FuDd a¢countAog Unre5tricled fllr￿ can be used in accordance with the charitable objectives al ihe discretion of ihe tnJsie¢s. Resiri¢ied funds can only be ￿5¢d for particular re51ri¢ied pulposes wiitun the objects of the chatily. Resiri¢tions arise when specified by the donor or when fi￿)d$ a￿ raised for panicular restyicted PUTPOS¢S. Further explanatiotl of Ihe natur¢ and putyosc of each filnd is Included in the notes lo th¢ financial siatemcnts. OTHER TRADING ACTIVITIES 2025 2024 Fundraising events Shop income Sponsorthips 1,065 23,(K)7 20,450 5,360 31,624 44,522 40,195 Pa8e 5 continued...

DocuswJn En*h)pe ID. ECEE417A4EA74EOE-A6514J5DCB1EB8D04 WAKEFIELD PRIDE NOTES TO THE FINANCIAL STATEMENTS- coolin￿ed FOR THE YEAR ENDED 31 MARCH 2025 IL41SING FUNDS Raising donations and leggtles 2025 2024 Support costs 17,5091 4.982 TRUSTEES, REMUNERATION AND BENEFITS There were no t￿￿tee$. remuneration or other ben¢fits for the year eJ￿¢d 31 March 2025 nor for Ihe year end¢d 31 March 2024. Tru5ttt$' expense$ Th¢re were no trustces. ¢xp¢nses paid for the y¢ar ended 31 March 2025 nor for the year endcd 31 March 2024. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unresir]¢l¢d fund Restricted fvnd Total fund5 INCOME AND EP4T)OWMENTS FROM DonatioThs al￿ I¢wdcies 4,153 50,400 54,553 Other trading aciivitl¢5 40,195 40,195 Total 44,348 50.400 94.748 EXPE￿D[TURE ON Rai5in8 fimd$ 49,478 30.161 79,639 ET INCOMEI{EXPENDITUREI 15.1301 20,239 15,109 REC0Tr4CILIATION OF FUNDS Toial fvnds broughi fon¥ard 72 72 TOTAL FUNDS CARRIED FORWARD 15,0581 20,239 Page 6 continued...

DO￿$19￿ Envety ID.. ECEE417A4EA74EOE.A8514)50CB1EB8004 WAKEFJELD PRIDE NOTES TO THE FINANCIAL STA TEMENTS- continued FOR THE YEAR ENDED 31 MARCH 2025 TANGIBLE FtXED ASSETS Fixtur¢s and rittings Computer eqtsipmeni Totals COST Additions 6,872 725 7.597 DEPRECIATION Charg¢ for year 43 239 282 NET BOOK VALUE Ai 31 March 2025 6,829 486 7.315 At 3 1 March 2024 DEBTORS: AMOUN'TS FALLING DUE WTTHIN ONE YEAR 2025 2024 PTepaym¢nts 157 CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2025 2024 Other ct¢ditors 13,881 6,012 MOVEMENT JN FUNDS Trdnsfcrs beiwe¢n fi￿dS movemeni in funds Ai 1.4.24 31.3.25 Unr¢$tricted funds Gcn¢ral fund {5,0581 5,027 {3,4161 13,4471 Restricted futtds Restrictcd Fund 20,239 (23,655} 3,416 TOTAL FUNDS (18.6281 (3.4471 Net movement in fimds, included in the above ar¢ as follow5-. Incoming resources Resotsrc¢5 expended Moi'emenT sn fijnds Unrestricted fund5 G¢n¢Tal fund 52.334 147,3071 5,027 Restricted (￿lIdS Restric*d fund 15,001 138,6561 123,6551 TOTAL FUNDS 67,335 185,9631 118,6281 Page 7 continued...

Envekjpe ID". ECEE417A4EA74EOE-A8514￿D¢8lEB8D04 WAKEFIELD P￿DE NOTES TO THE FtNANCIAL STATEMEpifs- contlnued FOR THE YEAR ENDED 31 MARCH 2025 MOVEMENT IIY FUNDS- tllDtinued Comp4ratives for movement fund$ Nei movement in funds At 31.3.24 At 1.4.23 UArestrl¢ted funds Gen¢ral fijnd 72 15,1301 15,0581 Rt$tricted funds Restricied fi￿d 20,239 20,239 TOTAL FUNDS 72 15,109 Comparative net ryKkvement in fwjds, incllld¢d in the above are &s follows.. JJJtOTntng resowces Resource5 expend¢d Moi'ement n funds UMrestrict¢d funds General fund 44.348 149,4781 15.1301 Restricted funds Restri¢r¢d fLthd 50,400 {30,1611 20,239 TOTAL FUNDS 94,748 {79,6391 15.109 A Current y¢ar 12 mottth5 and prior yeaT 12 month5 combirhed position is as follows.. N¢1 movern¢nt in fimd5 TransfeTS beMe¢n funds Ai 31.3.25 Al 1.4.23 Unrestricted Gencial fiu)d 72 (1031 {3,4101 (3,4471 Restricted Restrictrd fund {3.4161 3.416 TOTAL FUNDS 72 (3,519) 13.4471 Pa8e 8 oniinued...

Oow5KJn Enveknpe IO.. ECEE417A4EA74EOE-A851I5DC81EB8D04 WAKEFIELD PRIDE NOTES TO THE FINANCIAL STA TEMENTS- tontinued FOR THE YEAR ENDED 31 MARCH 2025 MOVEMENT IN FUNDS- tontirtued A euttenl ￿aT 12 months attd prior year 12 month5 combirhed net movement In fwjth. iJ]¢luded In the abov¢ are a$ follows". Jncoming resourre5 Resourres expended Movement in fi￿dS Unremricted fuDd5 GeneTal filnd 96,682 196.785} 11031 R¢5tricted fund5 Restricted fijnd 65,401 168.8171 {3.416) TOTAL FUNDS 162,083 1165.6021 13,519) io. RELATED PARTY DISCLOSURES There were no related paty transa¢tion5 for the year ended 3R March 2025. Page 9

DocusKJn Enveh)po ID.. ECEE417A-8EA74EOE.A8514J5DCB1E88D04 WAKEFIELD PRIDE DETAILED STATEMENT OF FIN￿NCIAL ACTIVITIES FOR THE I'EAR ENDED 31 MARCH 2025 2025 2024 INCOME AND ENDOWMENTS DoDgtioDs and leg4ci¢s Donations Grant5 7.313 15,500 4.153 50,400 22,813 54,553 Other tradlDg g¢tivitle5 Fundraisitig ¢vcni$ Shop income Sponsorship5 1,065 23.007 20,450 5,360 31,624 44,522 40,195 Tot¥1 incorning resource5 67.335 94.748 EXPENDITURE Other tr4dlng acdvities PUrchaseS￿ventS Ac15 Equipment Hotel S¢curity Trayclling 8,262 33,582 26,070 812 7,922 656 54,754 11.955 393 746 6,809 77,31 74.657 Support co$t5 MaN4gemcnt Insurance Postsg¢ and ststEonery Advert15ing Sundries 222 248 1,969 1.686 2,091 1,470 1.061 4.125 4.622 Informgrfon teehnology Repai￿ and rcnewals J.872 Oth¢r FixtUTeS and fittings Computer equipment 43 239 282 CovÈrnaDce costs Accountancy and legal fees 380 360 Total resources expended 85.963 79,639 Net (expeDdlturellittcomt 118,6281 15,109 This page does noi forni pan of the statutory financial statements Page 10

Dfwign Envebpe ID.. ECEE417A4EA74EoE.A851￿sDcB1ES8D04 REGISTERED CHARITY NUMBER: 11881156 REPORT OF THE TRUSTEES AND UNAUDITED FINANCIAL STATEMENTS FOR THE YEAR ENDED31 MARCH 2025 FOR WAKEFJELD PRIDE HÈrrison & Co Charter¢d Accounthnts 531 Denby Dale Road Wesl Caldcr Grove Wakcfjeld Wesi York5hirc WF4 3ND

Drth$¥n Env8kJpe ID.. ECEE417A4EA74EOE-A851Q50CB1EB8D04 WAKEFIELD PRIDE CONTENTS OF THE FINANCIAL STATEMENTS FOR THE I'EAR ENDED 31 MARCH 2025 Page Report of the Trustees ljdependent Ex•rniDer'$ Report Statement of Financial Actlyities Blante Sheet Note5 to the Finantigl StAiements Detiled Statement of FinxncRal Ae¢iiities 10

Drtuslgn Envety ID.. ECEE417A4EA74EoE-A851￿5DC8lEB8D0¢ WAKEFIELD PRIDE REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2025 The Iru51ees presejji their report the financial Statements of ihe charity for the year ended 31 March 2025. The Irustee5 have adopted the PTOI'isions of Accounting and Repo>ninB by Charities". Statement of Recommended Pra¢iice applicablc 10 chariti¢s preparing their accounts in ac¢ordan¢e with the Financ¢al Reporting Standard applicable in the UK and Republic of Irelsnd IFRS 1021 letTeciive 1141nuary 20191. STRUCTURE. GOVERNANCE AND.MANAGEMENT GoverDiDg documeDt The charity Is conirulled by ils 8ov¢rn*n¥ docum¢nl, a deed of trusi aJ]d constitute$ an UrrinfOTporat¢d charity. REFERENCE AND ADMINISTIL4TIVE DETAILS Registered Ch4riti' oumber 1188056 PrinclpAI 4ddress Flai 2 15 BletJheim Road St Johns Wakeficld West YorkshiTe WFI 3JZ Trustet$ Mr M Copcland TreastsTer M5 J King Sccretary (resigned 29.10.24} Mr T Wales (resigned 18.4.241 Mr M B¢achill Mr S Parkinson Chair Indepethdent Examiner Harrison & Co Chartered Accountsnrs 531 Denby Dale Road W¢si Calder Grove Wakefield West YorkSh￿e WF4 3ND Approved by order of Ihe board of tru51e¢5 On 7 January 2026 and SI￿¢￿ on its behalf by.. 3sFI￿lEs7315¢ Mr S Parkinson- Trustee Page I

Docu$vJn Envekjpe IO". ECEE417A4EA74EQE-A851-05DCB1E86004 Ir4DEPENDENT EXAMIYER'S REPOR T TO THE TRUSTEES OF WAKEFIELD PIUDE Independent ex*miner's repori to tht trustees of Wakefield Pride I rcport to ihc ¢hariry tru51ecs on my examination of the accounts of Wakefield Pride (the Trusti for the y¢?r ended 31 March 2025. Re5ponsibilitles and b#$is of rtport A5 the chariry tru51ees of the Trusi you are responsible for the prewation of the accounts in accordance w'ith the reqlliremen15 of the Charities Aci 2011 I'ihe A¢i'i. I rq)ort in respe¢t of my examination of ihc Trust'5 accounts t￿led out wmler S¢ction 145 of the Acl 2nd in carryin8 Qut my examination I have ftsllowed all applicable DireclIons given by Ihe Charity Commission und¢r Scciion 14515llbl of the Atl. IDdepet)deDI ex&miner'$ statement I have complcied my ex2uunaiion. I confirm thai no matcrial matters hav¢ come to my attention ill connection wih Ihe examination gjving me ¢au5e to believe thai in any material respect.. accounting records ￿Te not kept In Te5pect of the TTUSt as required by Seciion IJO of the Act.. or the accounts do noi accord with those records,. or the arcounts do noi cornply the appltcabl¢ requiTeme#ts ronccrning the forn) and ¢onteni of accounts sei out in the Charities (Account5 and Reports) Regbl#iions 2008 other ihan any rcquiremeni that Ihe accounts gil'e a iTUe and fair vtew wqjieh is not a matter considered as p#rt of a]] independent cxaJwThation. I have rho concern5 aJd h?ve come ecross no other matter5 in Col￿eCtIOn the examination 10 ￿.hICh atteniion should be dr2wn in this ieport in order its enable a proper undcrsianding of the at¢ounis io be Teachcd. Sherice Parfin FCCA Harrtson & Co Chartercd Acctsuntanis 531 Denby Dal¢ Road West CaldeT Grov¢ Wakefjeld West Yorkshire WF4 3ND 7 January 2026 Page 2

Dowsi9n Erwekip8 ID.. ECEE417A-6EA74E0E4851￿5DC8lEB8D04 WAKEFIELD PRIDE STATE.MENT OF FINANCIAL ACTJIqTIES FOR THE YEAR ENDED 31 MARCH 2025 2025 Totsl funds 2024 Totsl Unre5tricied fund Re5tricied fund Notes INCOME AND E.NDOWMENTS FROM Donaiion5 and l¢gacies 7.812 15.(Kkl 22.813 54,553 Other tradin8 a¢tivities 44.522 44.522 40,195 Total 52,334 IS,￿*1 67.335 94,748 EXPENDITURE ON Raising fLtt)ds 52.834 28,600 81.434 79,639 ChAritable aetiiitles Fundraising tosts 10.056 10,056 Other (5,527} 15,5271 Tot81 47,307 38,656 85.963 79,639 NET INCOMEIIEXPENDITURE) TrAD$fers between funds 5.027 (3,4161 123.6551 3,416 118,6281 15.109 Net movement ill funds 120.2391 118,628 15.109 RECONCILIATIOP4 OF FUNDS Total fijnds brought forward 15,0581 20.239 72 TOTAL FUNDS CARRIED FORWARD 13.447) {3,4471 CONTINUING OPERA TIONS All income and expenditure has Arisen from continuin8 acliviiies. The notes foml part of these financial staiem¢nt5 Page 3

Dogtsign Env8kJpe ID.. ECEE417A4EA74EOE.A8514)5DCB1EBBD04 WAKEFIELD PRIDE BALANCE SHEET 31 MARCH 2025 2025 Total funds 2024 Total funds Unrestricied fiyjd Restricted fi￿d Notes FIXED ASSETS Tan8ibl¢ a5sei$ 7,315 7.315 CURRENT ASSETS D¢biors Cash ai batth and in hand 157 2.962 157 2,962 21,193 21,193 CREDITORS Amounts falling due within one year 113.881} 113,881) (6,012) NET CURRENT ASSETSIILIABILITIES} (10,7621 (RO.7621 TOTAL ASSETS LESS CURRENT LIABJLITIES 13,4471 13,4471 NET ASSETS 13,447) (3,447} Fufs'DS Unrestri¢i¢d furtds R¢51r1c￿d funds 13,4471 15,0581 20.239 TOTAL FUNDS 13,447 The financial ststements were approved by the Board of Trustees and auihori5ed for issue on 7 January 2026 and were signed on its behalf by.. by." 05BEE44AYEEDI MT M Copeland- Trustee F}5FF￿1E6l34sc Mr S Parkin50n- TNstee ÈIC0859CF2114 Mr M 13eachill . Trnsiee The no￿$ fornj part of these financial staiemenrs Page 4

lkntyJ519n ETrVek)￿ ID.. ECEE417A4EA74EOE.A851-050CBIE88D04 WAKEFIELD PJUDE NOTES TO THE FI￿ANCIAL STATEMENTS FOR THE YEAR ENDED 31 MARCH 2025 ACCOUNTIPIG POLICIES B15l5 ofprtp#ring the fi￿￿￿£181 stalemeDt5 The financial STatemeni$ of the charity. wthich Is a public benefit entjty under FRS 102, have been prep2red tn ¢cordance with the Charities SORP {FRS 1021 'Accounling and Reporting by Charities.. Siaiefttnl of Reconmjended Practit¢ applicable lo charities preparing their account5 in kr¢ordance with the Financial R¢poning Standard applicable In the UK arld Republic of Ireland ITrRS 1021 leffeciive l January 20191, Financial Reponing Standard 102 The Financial Rcponing Standard applicable ID th¢ UK •)d Republic or Iieland, and th¢ Charitie5 Aci 2011. The f￿￿Or1a1 slalements have b¢¢n prepared undcr the historical c051 cortvenlion. Inrome All income i5 recognised in the Siai¢Jn¢nt of Financial Aciivilies once th¢ charity ha5 ¢iJliilemeni to Ihe fiJnd5, it is probable that the income w211 be received and the amount ¢a]J k rncasw¢d reliably. Expendlture Liabilities ¥e reeognised a5 expenth.turc as soon as there is a legal or constructive obligation committing the Charity to that expenditu￿, it Is probable thai 2 transfer of economic benefits w?11 be requircd in $ettl¢mcni and the amouni of the oblJBaiion can be m¢a5ured r¢li#bly. ExpertditUT¢ is accotsnted tor on an accruals ba515 and has been classified undcr h¢adings iha¢ aggregate ?11 c051 re131ed to the category. Where ¢05ts cannot be d2re¢tly attribuicd io partie￿ar headings they have be¢[ allocakd 10 #diviiies o# a basis consisienl wilh thc use of T¢sources. Tgngible r￿ed ss$ets Dcpretiaiion is provided al the followin8 atjnual rdtes irt Order lo write off each asset over its estimated useful life. Tgx412on The chartty is exempi from tax on it5 charitable activitie5. FuDd a¢countAog Unre5tricled fllr￿ can be used in accordance with the charitable objectives al ihe discretion of ihe tnJsie¢s. Resiri¢ied funds can only be ￿5¢d for particular re51ri¢ied pulposes wiitun the objects of the chatily. Resiri¢tions arise when specified by the donor or when fi￿)d$ a￿ raised for panicular restyicted PUTPOS¢S. Further explanatiotl of Ihe natur¢ and putyosc of each filnd is Included in the notes lo th¢ financial siatemcnts. OTHER TRADING ACTIVITIES 2025 2024 Fundraising events Shop income Sponsorthips 1,065 23,(K)7 20,450 5,360 31,624 44,522 40,195 Pa8e 5 continued...

DocuswJn En*h)pe ID. ECEE417A4EA74EOE-A6514J5DCB1EB8D04 WAKEFIELD PRIDE NOTES TO THE FINANCIAL STATEMENTS- coolin￿ed FOR THE YEAR ENDED 31 MARCH 2025 IL41SING FUNDS Raising donations and leggtles 2025 2024 Support costs 17,5091 4.982 TRUSTEES, REMUNERATION AND BENEFITS There were no t￿￿tee$. remuneration or other ben¢fits for the year eJ￿¢d 31 March 2025 nor for Ihe year end¢d 31 March 2024. Tru5ttt$' expense$ Th¢re were no trustces. ¢xp¢nses paid for the y¢ar ended 31 March 2025 nor for the year endcd 31 March 2024. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES Unresir]¢l¢d fund Restricted fvnd Total fund5 INCOME AND EP4T)OWMENTS FROM DonatioThs al￿ I¢wdcies 4,153 50,400 54,553 Other trading aciivitl¢5 40,195 40,195 Total 44,348 50.400 94.748 EXPE￿D[TURE ON Rai5in8 fimd$ 49,478 30.161 79,639 ET INCOMEI{EXPENDITUREI 15.1301 20,239 15,109 REC0Tr4CILIATION OF FUNDS Toial fvnds broughi fon¥ard 72 72 TOTAL FUNDS CARRIED FORWARD 15,0581 20,239 Page 6 continued...

DO￿$19￿ Envety ID.. ECEE417A4EA74EOE.A8514)50CB1EB8004 WAKEFJELD PRIDE NOTES TO THE FINANCIAL STA TEMENTS- continued FOR THE YEAR ENDED 31 MARCH 2025 TANGIBLE FtXED ASSETS Fixtur¢s and rittings Computer eqtsipmeni Totals COST Additions 6,872 725 7.597 DEPRECIATION Charg¢ for year 43 239 282 NET BOOK VALUE Ai 31 March 2025 6,829 486 7.315 At 3 1 March 2024 DEBTORS: AMOUN'TS FALLING DUE WTTHIN ONE YEAR 2025 2024 PTepaym¢nts 157 CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR 2025 2024 Other ct¢ditors 13,881 6,012 MOVEMENT JN FUNDS Trdnsfcrs beiwe¢n fi￿dS movemeni in funds Ai 1.4.24 31.3.25 Unr¢$tricted funds Gcn¢ral fund {5,0581 5,027 {3,4161 13,4471 Restricted futtds Restrictcd Fund 20,239 (23,655} 3,416 TOTAL FUNDS (18.6281 (3.4471 Net movement in fimds, included in the above ar¢ as follow5-. Incoming resources Resotsrc¢5 expended Moi'emenT sn fijnds Unrestricted fund5 G¢n¢Tal fund 52.334 147,3071 5,027 Restricted (￿lIdS Restric*d fund 15,001 138,6561 123,6551 TOTAL FUNDS 67,335 185,9631 118,6281 Page 7 continued...

Envekjpe ID". ECEE417A4EA74EOE-A8514￿D¢8lEB8D04 WAKEFIELD P￿DE NOTES TO THE FtNANCIAL STATEMEpifs- contlnued FOR THE YEAR ENDED 31 MARCH 2025 MOVEMENT IIY FUNDS- tllDtinued Comp4ratives for movement fund$ Nei movement in funds At 31.3.24 At 1.4.23 UArestrl¢ted funds Gen¢ral fijnd 72 15,1301 15,0581 Rt$tricted funds Restricied fi￿d 20,239 20,239 TOTAL FUNDS 72 15,109 Comparative net ryKkvement in fwjds, incllld¢d in the above are &s follows.. JJJtOTntng resowces Resource5 expend¢d Moi'ement n funds UMrestrict¢d funds General fund 44.348 149,4781 15.1301 Restricted funds Restri¢r¢d fLthd 50,400 {30,1611 20,239 TOTAL FUNDS 94,748 {79,6391 15.109 A Current y¢ar 12 mottth5 and prior yeaT 12 month5 combirhed position is as follows.. N¢1 movern¢nt in fimd5 TransfeTS beMe¢n funds Ai 31.3.25 Al 1.4.23 Unrestricted Gencial fiu)d 72 (1031 {3,4101 (3,4471 Restricted Restrictrd fund {3.4161 3.416 TOTAL FUNDS 72 (3,519) 13.4471 Pa8e 8 oniinued...

Oow5KJn Enveknpe IO.. ECEE417A4EA74EOE-A851I5DC81EB8D04 WAKEFIELD PRIDE NOTES TO THE FINANCIAL STA TEMENTS- tontinued FOR THE YEAR ENDED 31 MARCH 2025 MOVEMENT IN FUNDS- tontirtued A euttenl ￿aT 12 months attd prior year 12 month5 combirhed net movement In fwjth. iJ]¢luded In the abov¢ are a$ follows". Jncoming resourre5 Resourres expended Movement in fi￿dS Unremricted fuDd5 GeneTal filnd 96,682 196.785} 11031 R¢5tricted fund5 Restricted fijnd 65,401 168.8171 {3.416) TOTAL FUNDS 162,083 1165.6021 13,519) io. RELATED PARTY DISCLOSURES There were no related paty transa¢tion5 for the year ended 3R March 2025. Page 9

DocusKJn Enveh)po ID.. ECEE417A-8EA74EOE.A8514J5DCB1E88D04 WAKEFIELD PRIDE DETAILED STATEMENT OF FIN￿NCIAL ACTIVITIES FOR THE I'EAR ENDED 31 MARCH 2025 2025 2024 INCOME AND ENDOWMENTS DoDgtioDs and leg4ci¢s Donations Grant5 7.313 15,500 4.153 50,400 22,813 54,553 Other tradlDg g¢tivitle5 Fundraisitig ¢vcni$ Shop income Sponsorship5 1,065 23.007 20,450 5,360 31,624 44,522 40,195 Tot¥1 incorning resource5 67.335 94.748 EXPENDITURE Other tr4dlng acdvities PUrchaseS￿ventS Ac15 Equipment Hotel S¢curity Trayclling 8,262 33,582 26,070 812 7,922 656 54,754 11.955 393 746 6,809 77,31 74.657 Support co$t5 MaN4gemcnt Insurance Postsg¢ and ststEonery Advert15ing Sundries 222 248 1,969 1.686 2,091 1,470 1.061 4.125 4.622 Informgrfon teehnology Repai￿ and rcnewals J.872 Oth¢r FixtUTeS and fittings Computer equipment 43 239 282 CovÈrnaDce costs Accountancy and legal fees 380 360 Total resources expended 85.963 79,639 Net (expeDdlturellittcomt 118,6281 15,109 This page does noi forni pan of the statutory financial statements Page 10