REGISTERED COMPANY NUMBER: 12998290 (England Wal￿)
REGISTERED CHARITY NUAIBER: 1196174
2HRQP3HIBE CLIMATE ACTION
I￿￿￿PANy LIMITED By￿uARANT
PORT AN
EQR IYE Y￿R ENDED 31 MARCH Z025

SHROPSHIRE CUMATE ACTION
NTS
FTH
ENTS
25
ED 31 MARCH 2
Pag•
Rel•r•n￿ •nd Admini•tratlv• D•talls
Trust￿. R•port
2 10 4
Ind•p•nd•nt Eximln•rf• R•port
stst•m•nt of Flrnnci•l Actlvltl••
Stat•m•nt of Flftancl•l Po•ltlon
7 to 8
Not•• to th• Flnoncl•l Stst•m•nts
9 to 13

SHROPSHIRE CLIMATE ACTION
BEFERENGE AND ADMINI
THE YEAR ENDED
TRATIVE DETAIL
H 2025
TRUSTEES
Mr C Deaves
Mr M A Fem)or
Ms B A Rainford
Ms J E Watton
Mr M V UndeFwood (resigned 11.3.251
Ms E Canlillion lappolnled 19.6.251
MS F J Cullen lapp<xnted 20.3.251
Ms D D Du Cros {apptinted 14.4.251
REGISTERED OFFICE
Suitè 9
Old Bank Buildingts
Shrewsbury
SY1 1HU
REGISTERED COMPANY
NUMBER
12998290 IEn9land and Wales)
REGISTEREDCHARITY NUMBER 1196174
INDEPENDENT EXAMINER
TCA IShrew4buryi LLP
Third Floor
21 St Mary's Street
Shrewsbury
Shropshire
SY1 1ED
Page 1

SHROPSHIRE CUMATE ACTI
TR
FOR THEYE
EES. RE
RT
NDED 31 MAR
025
The Iwslees who are also directors of the ¢harity for the purposes of the Companies Act 20CIS. present their
report wlh the financlal Statements of the charity for the year ended 31 March 2025. The trustees have adopte(I
the provisions of Accountin9 and Reportin9 by Chanlies.. Statement of Recommended Pracknce appli￿ble to
Chan￿e5 preparing their accounts In acconlance wlh the Financial Reports"ng Standard applicable in the UK and
Republic of Ireland IFRS 1021 (Èffethe 1 January 20191.
O&JECTIVES AIID ACTIVITIES
Objèctives and alm¥
As slated in the Arb¢le$ of As50ryal'on, the obpctives for which Shropshim Climatt Action is established far the
public benefit aw..
To promots for the beneffll of the public, the con8ervalion, protection and improvement of the physical
natural environment by working collaboratively for the redudion in gr8enhouse gas emis￿on9'. increase of
biodiversity and restoration of natu￿ in Shropshir•', and
To advance thè education of the pudic in dimale change and the su¥laina*J? conservalKin. protection and
restorelion of the physical and natural environment in Shrcyshire.
Slgnlflcant •ctSvftl••
A¢¢ivili8s d￿n9 the per￿d have induded.,
Consolidation wth Scwlh Shrop8hlrè Climaté Action, Includlng Ir8n¥ler of staff (under TUPEI from O•c 2024.
thu5 inuea*ng lumov¢f resulbng from the transfer of Jupporting fvTra6 as 8 donatson.
- Conwll¢Jats'on vthh Shrop8hire Green Exchange, inwthng infomallon c1s8eminatton.
- Incre8sed acuvity in respect of blodlversity r851or¥lion,
Development ol 'adV￿cY, functions, in an1￿1P4)C￿ ￿ Local Aulhodty elocts'ons and a new nab'onal
govemment.
- Exploral¢)n of delivery of shared ¥erKes lo other slmilarorganisation in Shrop$hire.
- Exploration of an extended presence in Ihg Craven Amis Discov8ry Centre.
b•n•fit
All of above acts"vth'es have t￿n undertaken vlth reference lo the Cha￿ty Commission guidance on public
benefit.
ACHIEVEMENTS AND PERFORPAANCE
Charllabh •ctlviti•s
We are inueasingfy advising community gr￿p$ and individua15 on domestic energy effici8ncy and other Carbon
reduction measures, SLKh a5 communty energy schemes and reduction in food waste.
We have estsblished effective working relationshlps V￿th bcal avthonlies and other reg￿nal gro￿8 and are
both advising and parts'upating In the development of zero carbon opportunities with them.
FINANCIAL REVIEW
Flnanclal pojltlon
Durin9 the year. the chanty g•ner8ted a nel $urF4us of £14,221 12024.. net surplus of £6381.
Page 2

SHR
PSHIRE CUMATE ACTI
TRllLEES' REPORT
FOR THEY
ED 31 MARCH 202
FINANCIAL REVIEW
Ros•No8 pollcy
The Trust8es are in the process 0f￿rtIng thar reserves poh'¢y.
At the year End the free reserv￿ ofthe thanty were £15,16812024.. £9471.
Golng eoncèm
The Tnjslees have a reasonable expectabon that the ¢hantable company has adequate ￿$oUrceS to continue
operalonal existence for the for•s8eable ffiJtur8. Fof this reason thèy have adopted the going concem ba$1$
preparing the finanual 8tatemenl$.
8TRUCTURE, GOVERNANCE AND MANAGEMENT
Gov•rning docum•nt
The tharitable company is controlled by rts goveming dovJmenl, Memorandum and Articles of As￿la￿On
(adopted by special resolution on 24th September 20211. and consts'lules a company limited by guarantee, as
defined by the Companles Act 20C6.
R•cruilm•nt *n¢J •ppoinlm•nt of ngw tr￿19￿¥
Thè initsal Iru5tee5 were appointed from Ihe founding 'steertng grotsp,. Further trust￿ have been added in thi8
year followlng a large-scale advertising campaign over our entire mailing ￿151, Tesulting in more
appointrnenls. The tK)ard are now folt)TrMng a approach ol incremental recrurfmenl using the nefvth8 %%e ha
developed in the region. Idents'fying possible new ITuslees on a continuous basis. We have N¥0 more candidates
under g¢twe ¢on*deratson.
The board remsing cLJncemed lo inerna5e diversty In the Iruslees, wth part'cular emphasi$ M th¢ apwntment
ol younger persons who will kad th¥ tharty in the next ten year8. We hope that irKrèa8lng project activity wil
inLYea8e Interest from possible trustees in the next yèar.
TRUSTEES, RESPONSIBILITr STATEMENT
The trustees (who are also the directory of Shrtsp8hir• Climat• Action for th• purposes of cr)mpany lawl are
responslble for preparing Ihe Trustees, Report and the financial stslemenls In accordan￿ ￿￿th applicable law
and United Klngdom Accounting Standards (United Kingdom Generally Accepted Accounting Practy'¢el including
Financlal Reporb'ng Stsndard 102 "The Financial Reporting Standwd apF4icable In the UK and Republic of
Ireland"
Company re(wire8 the trustee$ lo prepare financial statements far each financial year Under that law, ltte
trustees have elected lo prepare the financial stat8ment$ in accordance with United Kwigdom Generally
Accepted Accounth"ng Prath'ce IUnrte(l Kingdorn Accounting Stsndard$ and appk'calle lawl.
Under company law the Irugteeg musl not approve the financial statements unkss they ar¢ satisfied that they
give a Inj• and fair view of the stale of affairs of tre charitsble company and of the in￿ming resources and
applic*'on of resources, including the income and expenditure, ol the ¢haritsble company for that peviDd. In
preparing Ih¢Jse finar￿181 statements, the Iru$lees are required lo
sekct Suitab￿ accountsng policles and then apply them consislenuy.,
obsor¥• the methods and Princi￿9$ in the Chanlies SORP..
make judgements anty eslimales that a￿ ￿aSOnable and prudent..
prepare the finanaal statements on the going concem basis unle5S rt is Inapproprfate lo presume that the
charitable company TrMII continue in busine$s.
Page 3

SHRO
HIRE CUIAATE ACTION
TRUSTEE ' REEQRT
THE YEAR
NOED 31 IIA
2D25
TAUSTEES. RESPONSIBILrrf STATEMENT.
The trustees are respongbk keeping proFer ac¢Gv)b"rKJ disdose *ilh rea5rmable accuracy *
any time the firkin¢ial of than12tAe cuwny and to enable them to ensure that thè fina￿la1
ststements comply wlh the Companies Act 2c￿. are also re5pXJns￿k for safewarding the assets of Ihe
charitable CoMp￿Y and ￿n¢t for tsking feas¢M￿￿ steps for the wevenb.on and detection of fraud arHI Dther
irregulanti•s.
Approve(J by order of Ihe t*)ard of Inrnlees on .'
IlILIi{
swned on ts ￿ha￿tsy.
Mr M A Ferrnor- TNstee
P¥Je 4

INDEPENDENT EXAMINER,
REPORT TO THE TRUSTEES OF
HROPSHIRE CLIMATE ACTI
Indgpgnd•nt examlmrfs rèport to the tmgteos of Shrophirè Climats Action Ilha Company'l
I reFx)rt to charity trustees my examina￿￿ of the attounts of the Company for the year ended
31 March 2025.
Respon$lbllitio$ and ba81s of report
As the charity's trustee$ of the Company land also its directors for the puiposes of company lawl you are
responsible the preparation of the accounts in acC￿ance ¥Mth the ￿qU￿ements of the Companies Act 2006
Ilhe 2006 Acfl
aying sats"sfied myseff that the actx)unls of the Company *e not required to be audited under Part 18 of the
20C6 Acl and are eligible lor independent examination. I report in respect uf my examinab.on of your charity'5
accounts as carried out under Section 145 of the Charities Aci 2011 I'the 2011 A¢VI. In carrying out my
examination I have fdlowed the Directions given by thè Charity Commission under &¢tion 14515) Ibl of the
2011 Act.
Indgpgndgnt oxamingrfs ststoment
I have completed my examination. I conffinn that no matters have come to my attentKJn in connection wth the
examination giving me cause to believe..
accounting records ￿tre not kept In ￿SpeCt of the Company as ￿quifea by Section 386 of the 2￿6 Actr,
or
the accoun15 do not accord wth those records., or
the accounts do not comtAy wth the accounting requiremerts of Section 396 of the 20[￿ Act other than
any requirement that the accounts give a true and fair view which 1$ not a matter considered as part of
independent examinab"¢)n', or
the accounts have not been prepared in accordance vAth the methods and principles of the Statement of
Recommended Practice for accounb'ng and reporting by chantyes lapplicable lo charitres preparing their
accounts in accordance wlh the Financial Reporting Standard applicable in the UK and Republic of
Irel￿d IFRS 10211,
I have no eoncems and have come across no tslher matters in connection wrth the examin*ion to
8ttents.on shoukl be dra￿ in this rewrt in order lo en8bk a proper uThJerslanding of the accounts lo be reached.
C Moewn-wiliams Bsc FCA
TCA Ishrewsburyl LLP
Third Floor
21 St Mary's Street
Shrewsbury
Shropshire
SY1 1ED
Date..
Page 5

SHROPSHIRE CLIMATE ACTION
TATEMENT
OR THE YE
FINA
ENDE
I MARCH
2025
un￿stn'ctef1
fijnd
2024
Total
funds
Noles
INCOME AND ENOOWMENTS FROM
tknnations and le9acies
31,*7
3,507
Charltsble a¢lIvI￿o$
Genera
3.105
Ttxal
35,072
3,507
EXPENDITURE ON
Charitable actlvlties
General
21.421
2,869
NET INCOME
13,651
638
RECOMCILIATION OF FUNDS
Total funds brought forward
309
TOTAL FUNDS CARRIED FORWARD
14,598
CONTINUING OPERATIONS
Al income and eXpendrtU￿ t)a$ arisen from continuing activit￿.
The rK)les fom part of these financial stalemenl$
Page 6

8HROPSHIRE CLIPAATE ACTION
STATEMENT QF FINANCIA
RCH 2025
2025
Unrestncted
fvn¢J
2024
Total
fvnds
Notes
CURRENT ASSETS
Prepayments and accrued income
Cash in hand
582
18,963
1,139
2,037
17,545
3,176
CREfxTORS
Amounts fall#ig due wthin or* year
12,9471
12,2291
NET CURRENT ASSETS
14,598
947
TOTAL ASSETS LESS CURRENT
LIABIUTIE8
14,598
NET ASSETS
14,598
FUNDS
Unrestrictad funds
14,598
TOTAL FUNOS
14,598
The charitatse company 18 onlitted to vxemplion from a(Klrt un(ler SKts'on 477 01 the Companies Act 20CQ for tho
year ended 31 March 2025.
The rnwnbers have not required the company lo obtain an audll of ilB fman¢ial ¥tslements for the year ended
31 March 2025 in acLordaneè ￿￿th SeGtion 476 of th? Coryani88 Act 2006,
The Iwslees xknowledge their ￿spOnsibl111*S for
lal
ensurtng that the charftsble company keeps accounting records that Comply Y￿h Sections 386 an¢t 387 of
the Companies Act 2006 and
preparing financial statements vknich give a true and fair view of the slate ol affairs of thè chantablg
company as at the end of each financial year and of its surplus or deficit for each financial year in
accordance wth the requirement8 of Sections 394 and 395 ant1 which otherwise comply wth the
requirements of the CompanEs Act 2006 relating lo financial stalemenls. so far as applle4ble lo the
chantable company.
Ibl
The notes fom part of these financial statements
Pagè 7
continuèd...

HROPSHIRE CUPAATE ACTION
STATEMENT
31 MARCH
These ffinancial statemerts have teen prepared in accutsr￿t the proviswjns applicable to charltable
companies ¥ubje¢l lo ts sm*1 comparles re9KM.
ncial
temerts *re appro￿1 by Boaftl d Trustees aLrthw"sed on
and were swed on ts behawby".
Mr M A Fefflv. Twstee
P4e8

SHROPSHIRE CLIMATE ACTION
NOTE
FORT
E FIIIANCIAL STAT
ENT
E YEAR
DED 31
CH 202
ACCOUNMNG POLICIES
8asls of prnparing thè financlal statoments
ThÈ financial statements of the charitable company, which is a public beneffii entity under FRS 102, have
t)een kyepared in accordance ￿1th the Charities SORP IFRS 1021 'Aecounling and Reporling by
Charities." Statement of Recommended Practice applicable lo charities preparing their accounts In
accordan￿ the Financial ReFxJrting Standard applicable in the UK and Republic of Ireland IFRS
1021 (effective 1 January 20191,, Financial Re￿rting Stsndard 102 'The Financial Repwting Stsndard
appluble in the UK and Republic of Ireland, and the Companies Act 2006 The financial statements
have been prepared under the historical cost convent¢on.
FInanC￿l roporting stsndard 102- reduced dis¢l0suTo •xemptions
The ¢harilable company has taken advantage of the followng disclosure exemptions in preparing Ihese
financral statoments, as pèrmrtted by FRS 102 'The Financial Reporling Stsndard ap*icable in the UK
and Republic of Ireland,.
the requirements of Section 7 Statement of Cash Flows,.
the requirèment of paragrnph 3.17ldl',
the ￿qurements of paragraFths 11.42, 11.44. 11.4S, 11.47, 11.48lalliiil, 11.48la)livl, 11.48lbl and
11.481cl-,
the requirÈment$ of paragraphs 12.26, 12,27, 12.29la}, 12.29lbl and 12.29A'.
the wuiremenl of paragraph 33.7.
Incomo
All income is re¢ognised in the Statement of FinanrAal Activities once the chanty has enlrfement lo the
funds, it is probable that the incorne wll be received ènd the amount can be measure(I reliably.
EX￿ndit￿r0
Uabilibes are recognised as expenditure as soon as there is a legal or constructive obligatton commrthng
the d)8rity to that expenditufft, il Is probable that a transfer of economic teneffits wll be required in
settlernenl and the amount of the obligab.on can be measured reliably. Expendiltjre is accounted for on
an accmals basis and has been classified under headings that aggregate all cost reL4led lo the category.
ere costs cannot be directly attributed to parti¢ul8r headings they have been allocated to activth.es on
a basis mnwstent wth the use of resources.
Taxation
The charity is exempt Irom corpcnb.on tax on ts charitable a¢tivrtYès.
Fund acwuntlng
Unrestricted funds can be used in acec*dan￿ vth the charitable objectives at the i*screts"on of the
trustees.
Restncted funds can only be used for particular restricted puwoses ¥￿h1n the objErts of the Charity.
Resth"ctions arise specified by the donor or vknen funds are raised for particular restricted purposes.
Further expLqnal'on of the nature and purpose of eath ￿nd 15 includ8d in the notes to the financial
statements.
P•nsion cosls aryl other pt)stwretirement bong11ts
The charitable company opetytes a defined contribution pension stheme. Contributions payable to the
charitable company's pension scheme are d)arge<J to the Statement of Financial Activities in the period
to which they relate.
Page g
continued...

SHROPSHIRE CLIMATE ACTION
FINAN
NT
FOR THEYEAR ENDED 31 MARCH 2025
ACCOUNTING POLIGIES- ¢otitinu•d
Cash at bank and in hand
Cash at bank and in hand inckjdes cash and short-temi highty h'quid investments wth a shcAt matuty
of ttwee months or less from the date of acquisibon or opening ofthe deposit or similar account.
Financial instrum•nts
The chanty only has finanei818ssets and financial Iiabilrties of a kind that qualfy as basic finaneial
instruments. Basic financial instruments are inib.ally recognised attransackn'on value and subsequenuy
measured at Iheir settlement value.
Trade and other debtor5 are recognised * the setuement amount after any trade discount offered.
Prepayments are valued al the amount prepaid net ofany trade discaunts due.
TRUSTEES. REMUNERATION AND BENEFITS
There wefe no trustees, remuneratKJn or other benefits for the year ended 31 March 2025 nor for the year
èndèd 31 Marth 2024
There were no trustees. expenses paid for the year ended 31 Marth 2025 nor for the year ended
31 Marth 2024.
STAFF COSTS
2025
2024
VVage8 and salaries
Ofvr Fer61￿ ￿$ts
11,885
595
12,480
The average monlhty number of empknyees during the year was as fc41¢)ws'.
2025
2024
Employees
No emF4oy8es r8C8iV8d emoluments in excess of £60.000.
Page 10
conts'nued,..

ROPSHIRE CLIIAATE ACTION
THEH
IAL
TATEMEKfs- con 'nued
THE YEAR ENDED 31 MARCH
COMPARATIVES FOR THE STATEUEKT RNANCIAL ACTMTIES
Unrestricted
fund
INCOME AND ENDtYI4MENTS FROM
Donal'on5 and legacies
3,507
EXPENDITURE ON
Charitable activities
General
2.869
NET INCOME
638
RECONCILIATION OF FUNDS
Total fvnd5 brought fmrd
309
TOTAL FUNDS CARRIED FORWARD
947
CREDITORS: AMOUNTS FALLING DUE YirrHIN ONE YEAR
2025
2024
Trade uedrtEf5
Ae£¥ua$ and deferre(I Inc(%ne
1.728
1.219
2,947
2,229
MOVEMENT IN FUNDS
Nel
At
31.3.25
At 1.4.24
in fvnds
General ￿nd
947
13.651
14,598
TOTAL FUNDS
13.651
14,598
Nel movement in fvnds. wKluded in tr* above are as f￿th￿..
Irwm
ResoU￿e$
expended
Movement
in ftjnds
unrostricl￿ fuThls
Ger￿al fijnd
35.072
{21,421)
13,651
TOTAL FUNDS
35.072
(21.421)
13.651
Page11
continu&J...

SHROPSHIRE CUIAATE ACTION
ES TO THE FINANCIAL STA
FOR THE YEAR ENDED 31 MARCH
MOVEMENT IN FUNDS. con11￿￿d
Comparntiv•s for movoffl•nt in fwKIs
vement
in funds
At
31.324
Ai 1.4.23
Unr8strlct•d fvnds
General fiJnd
309
638
TOTAL FUNDS
309
638
947
C¢rnparative net nTh)vement in funds iKILthY in Ihe above are ay foMcth3:
Irthning
Durces
Resources Movement
expndgj
in fvnds
General
3,507
12.869)
638
TOTAL FUNDS
3.507
12.869)
638
A curyent year 12 months and wicyyear 12 combM*d i8 asf01kn￿'.
Net
nv)vemenl
N) fvrvjs
Al
31.3.25
At 14.23
Unr¢strict￿ funds
General fund
309
14.289
14,598
TOTAL FUNDS
309
14.289
14,598
A Current year 12 nKth and year 12 nwNrfhs net nv)veffent n f￿￿$, induded in the
above a￿ as follows.
IrK(Nning
Res(wrce$ Movement
in fvnds
Unrostrlct¢d fvtKIs
General fvnd
38.579
(24290)
14,289
TOTAL FUNDS
38,579
124.2901
14.289
Page 12
continued...

SHROPSHIRE CLIMATE ACTION
TE
LQT_HE FINANCIAL STATEMENT
R TH
YEAR ENDED 31 MARCH
EMPLOYEE BENEFIT OBLIGATIONS
The charitsble eompany operate$ a defined ctsntn"bu￿n pension scheme. The assets of the %heme we
held separatety from those of the charitsble company In an Independent￿ administered fund. The
pension ￿$1 Gharge represents conlribub'on payable by the Charitable ￿MpanY lo the fund and
amounted to £595. ConlribulKJns lotalling £276 were payade to the fund at the balance sheet date
RELATED PARTY DISCLOSURES
There wefe no related paty transactions for the year ended 31 March 2025.
Page 13