COMPANY REGISTRATION NUMBER.. CE028110
CHARITY REGISTRATION NUMBER: 1197729
GM2LF CHARITY
Charitable Incorporated Organisation
Unaudited Financial Statements
31st May 2025
MR A A B GRAINGER FCA OF
Griffiths & Pegg Limited Chartered Accountants
3 Hagley Court South
Waterfront East
Level Street
Brierley Hill
West Midlands
DY5 1XE

GM2LF CHARITY
Charitable Incorporated Organisation
Flnanclal Statements
Year ended 31st May 2025
Pages
Trustees, annual reFQrt (incorporating the directorfs report)
1to3
Independent examinefs report to the trustees
Statement of financial activities (including income and
expenditure account)
Statement of financial position
Notes to the financial statements
7t012
The following pages do not fomi part of the financial statements
Detailed statement of financtal activities
14
Notes to the detailed statement of financial activities
15

Page 1
GM2LF CHARITY
Charitable Incorporated Organisation
Trustees, Annual Report (Incorporating tho Director's Report)
Year ended 31st May 2025
The Iruslees, who are also the directors for the purposes of company law, present their report and the
unaudited financial statements of the charity for the year end&J 31st May 2025.
Raference and administrntlve d8tails
Reglstered charlty namo
GM2LF CHARrtY
Charlty registration number
1197729
Company reglstration numbor CE028110
Prlncipal office and rogi$tered Lion Farm Action Centre
The v￿rage
Shelsley Avenue
Oldbury
B69 1BG
offlco
The trustees
MsTMLowe
Ms G Finch
Ms S Rushton
Ms D Cheshire
Ms J L Jones
(Appointed 17th July 20251
(Appointed 17th July 2025)
Ind8pendent oxamlnor
MrA A B Grainger
Griffiths & Pegg Limited Chartered Accountants
3 Hagley Court South
Waterfront East
Levd Street
Brierley Hill
West Midlands
DY5 1XE
Structure, governance and management
The Charity was registered as a CharIta￿e Ino)rporaied Organisab'on (CIO) on 31 st January 2022.
Objectivos and activltlos
The charity beneffts comtnuntiies particulady. though not exclusNdy,in the Grace Mary to Lion Farm
area in 0Sdbury and Rovley. Sandwell. The chartty undertakes a wide range of s￿181 welfare rdated
activities with an aim to improving facilities and service proyish)n for people living, working and
volunteering in the area.

Page 2
GM2LF CHARITY
Charltable Incorporated Organisatlon
Trustees. Annual Report (Incorporating the Directorfs Report) (¢onlnu8d)
Year ended 31st May 2025
A¢hlevements and performance
The Communiti￿ we support r8main at the heart of everything we do, and their input continues to
shape and infoTrn rxjr a¢livfcies throughout the year. We aff dedicated lo fostering community spirit,
supporting local families and creating opporbjntiies for children and adults alike.
Investing in Future Generations
This year. we OTganised a Christmas Postw Design Competition fiK the Ihree local primary schools-st
James, Oakham and Grace Mary, encouraging creativity and u)mmunity involvement among young
children. To supp(Kt l(Thl education. we prOV￿e￿ breakfast packages to these three schools,
delivered at the start (rf each term io ensure thildren re￿7Ve a nutrilious beginning to their day.
Additionally. lo spread festive che￿, we arranged for the Wolverhampton Grand Theatre to perform
pantomimes at these same three primary schods, benefiting over 200 children and teachers. Vve
supported the y¢xth group Big L(￿al LIl￿e Voices who desigr$8d, [￿U(*d and installed a Gracle Lion
bench and display board. enriching the grwp's community environment. Our Family Easter Bake Off
saw 40 households entering the competition. with 98 adults and childrer¢ participatlng in a fun and
engagirKJ event. We provided three family day trips lo Telfcffd Park, Weston, and Bla¢kpool, with a
tota5 of 150 community members enjoying these ￿tIngS. Our Family Fun Day at Dudley GOW Club was
attended by over 70 people fram 19 househd(Js. fostering community bonding and fun.
Strengthening the Community
In partnership wlh Litter Watch, we held three community litter picks and skip events. engaging 150
residenls from 75 households. These efforts resulted in the collection of 180 bags of rubbish and the
filling of two skips. Each participating h(￿sehold received a Christmas hamper as a tok6n of
appreciation. Our Big Feed initiative distributed Christmas hampers to 180 households induding
those on low incomes, benefits or facing financial dtffi¢ultie5. This support reached over 700
individuals during the festive season. More than So vdunleers generously deeicaled their titne and
effort to ensure Ihe success of this event. Our Over 50s Christrnas Summer Aftern(x)n Teas
wel￿ned 191 attendees, helpTring lo combat isolation and loneliness while promoting new friendships.
These events also contributed to raising over £500 for GM2LF Charity-
In addib"on, we funded and organisad the installation of a communty defibrillator at a thal community
hub, ensuring lrfe-saving equipment is accessible to 811 residents.
Community Transport
The provision of our community minibus has enabled I(￿al groups to travel to events and workshops,
supporting ong(Mng community acb"viknes an¢J engagement. Through￿1 the year. we have continued to
work closely with communities, providing opportunibes fcff participation, support ané development,
all driven by the lleeds and enthusiasm of those we SUPPK)rL

Page 3
GM2LF CHARITY
Charitable Incorporated Organisation
Trustees. Annual Report (Incorporating the Director's Report) (conllnued)
Year ended 31st May 2025
Financlal revlew
The results for the year, and the financial positson at the end of Ihe year, are shown in the attached
financia1 stalemerrts.
The reserve funds a￿ held to covw three months opwational costs and any unforeseen expenditure.
Our reserves pdicy outlines the contingencies and forms part of our annual review process.
Smail company provisions
This report has been Prepar￿ in accthan￿ wtlh the provisions ap￿1¢able to companies ent(tled to
the small companies exemption.
The trustees. annual report was approved on 22nd De¢ember 2025 and signed on behalf of the board
of trustees by..
MsTMLowe
TN8tee

Page 4
GM2LF CHARITY
Charitable IncorF)orated Organisation
Independent Examinerfs Report to the Trustees of GM2LF CHARITY
Year ended 31 st May 2025
I report lo the trustees on my examination of the financlal stslements of GM2LF CHARITY {'the
charity'l for the year erKled 31sl May 2025.
Responsibilities and basis of report
As the trustees of the company land also ts directors fr)r Ihe purposes of company lawl you a
resF)onsible for the preparation of the financial statements in accordance with the r4ulrements of the
Companies Act 20061'lhe 2006 Act,).
Having satisfied myself that the accounts of the (x)mpany are nol required to be audited under Part 16
of the 2006 Act and are eligible for independenl examirbation, I repcrt in respect of my examination of
the charity's accounts as carried out under section 145 of the Charities Act 2011 I'the 2011 Acl'}. In
carrying out rny examination I have fotlowed the Directions gNen by the Charity Commisslon under
section 14515)Ib) of the 2011 Act.
Independent examingrfs statgmgnt
I have completed my examination. I confinn that no matters have come to my attention in (x)nnection
with the examination giving me cause to bel￿e..
accounting records were not kept in reSp￿t of the charity as required by section 386 of the
2006 Act" or
the finan￿al statements do not accord wth those records.. or
the financial Stat￿entS do not comply with the accounbng requirements of Wion 396 of
the 200e Act other than any requirement that the accounts give a 'true and fair. vlew wh￿h
is not a matter consKlered as part of an indeperndent examinab"on' or
the financial statements have not been prepared in accordan(￿ with the methods and
principles of the Ststemenl of Recommended PraCt￿e for accounting and reporting by
charities applicable lo charities preparing their accounts in accordance v￿h the Financial
Reporting Standard appluble in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matters in COnn￿tiOn with the examination to
which allenlion should be drawn in this report in ordef to enablè a proper understanding of the
accounts to be reached.
MrAA B Grainger
Independent Examiner
Griffiths & Pegg Limiled Chartered Accwntants
3 Hagley Court South
Walerfvont East
Level Street
Briedey Hill
Wesl Midlands
DY5 1XE
22nd De￿mber 2025

Pago 5
GM2LF CHARITY
Charitable Incorporated Organisation
Statement of Flnanclal Actlvlties
(including income and expenditure account)
Year ended 31st May 2025
2025
Restricted
funds Total fund$ Total funds
2024
Unrestric
funds
Income and ondovrnfjnts
Donations and legacies
Other incorlle
11,291
524
50,481
61,772
524
19,525
696
Total Incom
11,815
50.481
62,296
20,221
Expenditure
Expenditure on ¢haritabl8 activities
Total expenditure
2,799
2.799
20.671
23,469
9,144
20.671
23,469
9,144
Net Income and net movement In funds
9,016
29,810
38,827
11,077
Reconciliation of funds
Total funds brought forward
Total funds carrSed fopward
2,872
8.321
11,193
50,019
116
11,888
38.131
11,193
The statement of financial activities includes all gains and losses r￿jg￿lsed in the year.
All income and expendikure derNe from continuing activtiies.
Th• not•s on pages 7 to 12 fomi part of these financial statsments.

Page 6
GM2LF CHARITY
Charitable Incorporated Organisatlon
Statement of Financial Position
31st May 2025
2025
2024
Nots
Flxed as$ets
Tangible fixed assets
13
2,250
Current assots
Cash at bank and in hand
48.269
11,193
Creditors: amounts falling due withln one y9ar
Net current assets
14
{500)
47,769
11,193
Net asset$
50.020
11,193
Funds of the charity
Restricted funds
Unrestricted funds
38,131
11.888
8,321
2.872
Total charity fvnds
15
50,019
11,193
For the year ending 31st May 2025 the charity was enltued to exemption from aud￿ under Secb'on 477
of the Cornpanies Act 2006 rdating to small C(￿PanES.
Directors, responsibilities:
The members have not required the company to obtaln an audtl of its financial statements for the
year in question in accordance with section 47fj,'
The directors ackn￿edge their responsibilities for complying wth the requirements of the Act
th respect lo accounting records and the preparation of financial 5tatem8nts.
These finamial statements have been prepared in accordance with the provisions applicablo to
companies subject lo the small companies, regime.
These finall￿81 statements were approved by the board of trnstees and authorised for issue on 22nd
December 2025, and are signed on behatf ofthe board by:
MsTMLowe
Trustee
The not•s on pages 7 to 12 fomi part ofthe8e Ilnan¢ial statements.

Page 7
GM2LF CHARITY
Charitsble Incorporated Organlsation
Notes to the Financial Statements
Year ended 31st May 2025
Ggnwal Infomiation
The charty is a public benefrt enlity and a private company limited by guarantee. registerad in
England and Wales and a registered charity in England and Wales. The address of the
registered office is Lion Farm Actson Centre, Shelsley Avenue, Oldbury, B69 1 BG.
Statement of compllance
These ffinan￿aI statements have been prepared in compliance wtth FRS 102, The Financial
R8POrting Standard applicable in the UK an(J the R6pJblic of Ireland,, the StatgmeTII of
Recommended Practice applicable to charities preparing their accounts in accordance with the
Financial Reporbng Sl8ndaré applicable in the UK and Republrc of Ireland IFRS 102} {Charities
SORP IFRS 102}} and the Companles Acl 2006.
Accountlng policlas
Basis of preparation
The financial statements have been prepared on the historical o)st basis.
The financial statements are prepar￿ in sterling. wh￿h the functional currency of the entity.
Golng concern
There are no material Un￿rtainties about the charivs abilty to continue.
Judg¢m•nts and key sources of estimatlon uncortainty
The preparats'on of the financial st8tements requires managoment to make judgements,
estimates and assumptions that aff￿t the amounts rew)rted. These estimates and judgemen15
are continually reviewed and are based on ex￿lenCe and other factors, includirKJ expectations
of future events that are bel￿ed io be reasonable undw the circumstances.
Fund a¢￿untIng
Unrestrcled funds are available for use al the diwetion of the trustees to further any of the
charitfs purposes.
Designated funds are unreSt￿ed funds eamiarked by the trustees for par￿￿lar future project or
ommitment.
Restricted funds are subjected lo restrictions on their expenditure declared by the donor or
through the terms of an appeal. and fall into one of two sub-classes: restricted income funds or
endowmenl funds.

Page 8
GM2LF CHARITY
Charitable Incorporated Organisation
Notes to the Financlal Statements (conb'nued)
Year ended 31st May 2025
Accountlng policies (conbnu
Incomlng resour¢ès
All incoming resources are induded in the statement of financial activFties when entitlement has
passed lo the charity,- it is probable that the economic betteffts associated wth the transaction
wll flow lo the charity and the amount can be reliably measured. The fdlowing sp￿trIC policies
are applied lo particular categories of income..
income from donations or grarrts recognised when there is eviéence of entiuemenl lo Ihe
gift, receipt is probable and its amount can be measured reliably.
legacy income is recognised when receipt is probable and entiuement is established.
income from donated goods is measured at Ihe fair value of the goods unless this Is
impractical to rneasure reliably, in which case the value is derived from the cost to Ihe donor
or the estimated resale value. Donabj faciif(ies and services ar8 rec(KJnised in th8
accounts when received rf th8 ¥￿ue can be reliably measura. No amounts are induded for
the contribution of gen￿al vdunteers.
inrtfyme from contracts fiK Ihe supply of services is r￿gnised with the delivw of the
contracted service. This is dassrfied as unrestricted funds unless there is a contractual
requirernent for it to be spent on a parti¢ular purpose and returned rf unspent, in which case
il may be regarded as restricted.
Resources Èxpended
Expenditure is recognised on an accruals basis a5 a liability is irtcurred. Expenditure incluées any
VAT which cannot be fully recovered, and is dassified under headings of the statement of
financial a¢livib"es io wh￿h it rd2tes-
expenditure on raising funds includes the costs of all fundraisirMJ aotivibes, events,
non-charitable trading activities. and the sale of d(￿ated gmls.
expenditure on charitable activities includes all o)sts incurred by a charity in undertaking
activities that further ils charitable aims the benefft of its beneficsaries, including those
support costs and costs relating to the govemance of the charity 2PPOrtioned lo charitable
activities.
other expenditure indudes all expenditure that is neither related to ra15ing funds for the
charity nor part of its eX￿n{lIt￿re on charitable adivities.
Al costs are allocated to expenditure catewies refiecting the use of the resource. Direct costs
attributable io a single activty are all(Kated directly to that activity. Sh8red costs are apportioned
betweell the activities they contribute to on a reasonable, justifiable and consistent basis.
Tangibla assets
Tangible assets are initially recorded at cosL and subsequently stated at cost less any
accurnulaled deprecialion and impairment losses. Any tangible assets carried al revalued
amounts are recorded at the fair value at the date of revaluation less any subsequent
accumulated depr&iation and subsequent accumulated impairment losses.

Page 9
GM2LF CHARITY
Charitable Incorporated Organisation
Notes to the F5nancial Statements fcondnued)
Year ended 31st May 2025
Accounting pollcles (¢ondnu8dJ
Impairment of fixed assots
A review for indicators of impairment is carried out at each reportlng date, with the recoverable
amount being estimated where such indicators exist. Where the carying value exce&s the
recoverable amount, the asset is impaired aCtC￿1ngIy. Pn'or impairments are also reviewed for
wssible reversal at each retx)rting date.
Charitable Incorporated organlsation
The company is a Charitable Incorporated Organisation and therefore not Limtted by Guarantae.
Donatlons and legacles
Unrestrict
Funds
Restricted Total Funds
FL¢nds
2025
Donatlons
t)onalions
3,302
3,302
Grant5
SCVO Grants
7,989
50,481
68.470
11.291
50.481
61,772
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Donations
Donations
Grants
SCVO Grants
17,465
17,465
19,525
19,525
2.080
Other Income
Unrest￿￿ Total Funds Unrestricted Total Funds
Funds
2025
FurTrds
2024
Minibus Hire
524
524
696

Page 10
GM2LF CHARITY
Charitable Incorporatsd Organlsation
Notes to the Financial Stslements (conttn￿
Year ended 31st May 2025
Expondlture on charltablo activltles by fund type
Unrestricted
Funds
Restric18d Total Fund$
Furds
2025
Community Activf(18S
2,799
20,671
23,469
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Community A¢tivities
9,144
9,144
Expendlture on charitable activitles by actlvity type
Acbvities
undertaken Total funds
direcuy
2025
Total fund
2024
Communty A¢tivilies
23.469
23,469
9.144
Not incom¢
Net income is stated aftw ChargIn￿{CredIti.ng)'.
2025
2024
Depreaalion of tangible fixed assets
750
10. Independent examina￿On fees
2025
2024
Fees payable to the independent examiner for..
Independent examination of the financial statements
500
11. Staff costs
The average head count of employees during the year was 3 {2024: 3). The average number of
full-time equivalent employees during the year is analysed as follows..
2025
2024
Governan
No employee receivdj employee benefits of more than £60.000 during the year12024: Nil).
12. Trustee remuneration and expens
No remurwation or other benefrts from employment wrih the charity or a related entity were
reCeThi￿ by the trustees.

Page 11
GM2LF CHARITY
Charitable Incorporated Organisatlon
Notss to the Flnancial Stalements (continued)
Year ended 31st May 2025
13. Tanglblo fixed assets
Motor
vehlcle8
Cost
At 1st June 2024
Additions
3.000
At 31st May 2025
Depr￿atIon
At 1 sl June 2024
Charge for the year
At 31st May 2025
Carrylng amount
At 31st May 2025
At 31st May 2024
3,DOO
750
750
2,250
14. Croditors.. amounts falllng du? withln one year
2025
2024
Accruals and deferred income
15. Analysis of charitable funds
Unrestrictgd funds
At 151 June
2024
At 31st May
2025
Iw)me Expenditure
General fttnds
2,872
11,815
12.799)
11,888
At 1st June
2023
At 31st May
2024
IrKome Expenditure
General funds
116
2.756
2,872

Page 12
GM2LF CHARITY
Charitable Incorporated Organisation
Notes to the Financial Ststements (continu¢d)
Year endod 31st May 2025
15. Analysls of charitable funds (Gontinu8d)
Rostrlcted funds
At 1st June
2024
At 31st May
2025
Income Expenditure
SCVO Grants
8.321
50,481
120,671)
38,131
At 1st June
2023
At 31 st May
2024
Income Expenditure
SCVO Grants
17.465
(9,1441
8,321
16. Analy$ls of net assets between fund$
Unrestricled
Funds
Restricted Totsl Funds
Funds
2025
Tangible fixed assets
Current assets
2.250
9,638
2.250
47,769
38,131
Net as59ts
11.888
38,131
50,019
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Tangible fixed assets
Current assets
2,872
8,321
11,193
Net assets
2.872
8,321
11,193

Pago 13
GM2LF CHARITY
Charitable Incorporated Organisation
Management Infomiatlon
Year ended 31st May 2025
The following pages do not fonn part of the flnancial slatemonts.

Pag8 14
GM2LF CHARITY
Charitable Incorporated Organisation
Detailed Ststement of Financlal Actlvltles
Year ended 31st May 2025
2025
2024
InGom¢ and endowrn¢nts
Donatlons and legacles
Donations
SCVO Grants
3,302
58,470
19,525
19,525
61,772
Oth9r income
Minibus Hire
524
696
Totsl InGome
62,296
20,221
Expenditurg
Expenditurg on charitablg activltles
Community activitie5
Minibus expenses
Legal and professional fees
Office costs
Depreciation
19,946
1,976
500
297
750
3,550
5,594
23,469
9,144
Total expendFture
23,469
9,144
Net income
38,827
11,077

Page 15
GM2LF CHARITY
Charitsble Incorporated Organi5ation
Notes to the Detailed Statement of Financlal Activltles
Year ended 31st May 2025
2025
2024
Expendlture on charftable activltl8s
Communlty Actlvltles
Actlvltles undertaken directy
Community activities
Minlbus exwsgs
Legal and professional fe&
Office costs
r8ciation
19,946
1,976
500
297
750
3,550
5.594
23,469
9,144
Expondlturo on charltable activities
23,469
9,144