REGISTERED CHARITY NUMBER: 512109
Report of the Trusteu and
Unaudlted Flnancl41 Statetnents for the Yur Ended 31st August 2024
for
Crewe & Nantwlch Gymng$tlc$ &
Communltics Aetiyitles Assoelation
Hardings
Ch8rtered Accountants
6 Marsh Parade
Newc&%tle-under-Lyme
Stafford5hirc
ST5 IDU

CTeTve & Nantwieh Gymnastics &
Communltles Activiti￿ Assoelation
Contents of the Flnancial Statements
for the Year Ended 31st August 2024
Page
Referente 4ttd Admlnlstr*tlve Det8119
Report of the Trn$te¢s
2 to 6
Independent Emmlner's Report
Statement of Flrtan¢lal Actlvitles
Bmlance Sheet
Notu to the Flnonelal Statem¢nts
10 to 16
DetAlled Ststsment of Flnancial Aetlvlties
17

Crewe & Nantwich GymnastlC5 &
Communlties Activities Assoeiation
R¢fertnee #nd Adminl8tratiYe Detsi
for the YeAr Ended 31st August 2024
Trustees
Mr S Deeley Chair
Mrs C Hughes Treasurer
Mrs M Hazell Secretary
P Hazell Vice Chair
Prlnclp*l addrnss
The Camm stre￿ Centre
Camm Street
Crewe
Chc8hir¢
CW2 7DN
Reglstered ¢h8TIty number
512109
IDdependent examiner
Hardin88
Chartered Accountant$
6 Marsh Parade
Newcastle-under-Lyme
Staffordshire
ST5 IDU
Page I

Crewe & Nantwich Gymna5tlC5 &
Communities Attlvities Association
Report of the Trustees
for the Year Ended 31st August 2024
The truste¢s pr¢sent their report with the financial Statements of the charity for the year ended 3 1st August 2024. The
trustees have adopted the provisions of Accounting and Reporting by Charities.. Statement of Recommended Practice
applicable to charities preparing their accounts in accordance with the Financial Reportsng Standard applicable in the
UK and Republic of Ireland {FRS 102) (effective l January 2019).
Objectives and activitles
Objectives and airns
It is our intention to provide opportunities for all especially in gymnastics where we have a depth of experience and
reputation.
We are well esthblished in the community and provide aduli fithess and well-being programmes through our personal
trainers providing progrdmmes and one to one support where n¢c¢s5ary. With thc growth in attention in adult health and
wellbein8p we believe we are well ploc¢d to tak¢ advantage of this opporiunity.
We provide Specific facilities for ethnic minorities. with a wornen only fjlness area and focuscd training infom)aiion in
several of the locally b&sed languages.
Our long temi aim is lo continue our contribution to the c(Trmmunity and io add to the success of all our gyrnnasts who
have passed through including the many who have grown from gymnasts to coaches.
We have provided a support to education in the borough for many years, and continuo io do so through visiting primary
schools on a regular basis, helping to introduce a 5¢h¢m¢ of fitnc55 and gymnastlC5 5ki113 Wlth the assistance of the staff
of the school and thereby contributing to improvin8 Staff awareness and participation in sport by the children.
Our voluntcers contribute massively to the running of thc ccntrc, without thcir support we would not b¢ oble to provide
the qu&lity of ¢04ching a¢ the minimal cost level.
Other 5POrts clubs rent space from the charity to provide a sirnilur service. We a150 provide fitness facilities for adults
including dietary infomlltion.
We are iea¢hing oul ¢0 other sports and charitable or8anisaiion to consider how we mi8ht be of help lo their
or8anisations.
We h&ve invested money in researching the Yiability of moving the centre to a ncw property, whi¢h has always been
long tcm alm. The report, written by Active Cheshire, independently demonstrated the nccd for OUT 5ervi¢e proYi$ion in
the local area. returning scorcs in the upper quartile on all key parameters. t)uring this financial ycar we have continued
to work Closely with local council And health authoritie5 and hav¢ fvrther progre55ed vur development of 8 plan to move
and rebuild.
Page 2

Crtwt & Nantwich Gymnastics &
Communities Aetivitie5 Association
Report of the Trustees
for the Year Ended 31st August 2024
Achievement and performance
By ensuring the fees are kept to a minimum. the usa8e of the fitness areas of the gyJn have iD¢reas¢d whsth togeth¢r with
room rental has ensured a contribution to rhe health and well being of the population of Crewe and Nantwich. We have
increased the number of our personal train¢rs ynd developed a rangc of individual training options linked to heal¢h
programmes. We have significantly itnprov¢d participation from cthnic minorities by developing our Women only
section and encouraged linkg with the local Polish and East Timor populaiions. with increasing usage resulting from our
efforts.
GJTnnastics has continued to be success￿1, over 400 gymnasts have attended the Club, often more than once per week
and for over 15 hour5 per week for higher level individua15.The numb¢rs have reduced as a rcsult of Covid, however,
there ar¢ signs of a return to previous l¢vcl of participatiOTb. After over 40 years of trading, we now are welcoming
second generation user8 to th¢ centre. We have reprcsenthiivcs of the Euro￿￿￿ T￿Tn ¥ym team attending th¢ club
iogether with the Women's, Artlstic British Di$abilitl¢s Champion
Involvement in local, rEgional and national gymnastics compeiitions coniribute LO the childr¢n gaining confidence in
their own abilities. Wc aim to give every child ihe opporlullity to attcnd a ¢oinp¢tition and hold internal challcnges to
e￿Ure all 8ymna5ts gain an achievement and hav¢ a r¢cord of progrcss in ih¢ 5POrt.
The 'feam scclion continued to grow with success at the English and Brilish finals. This is a growing area of
British G￿aStIc$ and it is satisfyin8 that w¢ or¢ bn ¢he first Stages of developinenl of an ¢x¢iting n¢w area in the sport.
The Christmas open s¢58ion5 w¢r¢ enjoyed by over 400 spectaiors in three sessions. It is a gala celebration of the
achicvcmcnts of evcry group of gymnasis throu8hout (h¢ ¢lub and is a fitting climax to the year.
In Summary.. we have actively increased our linkages with local charities and key opinion forn)ers in the Community,
building thc ba51¥ for investmeni in relocation.
Flnanelal revlew
I'rlncipol fundlng sources
lThe year's results are still showing Signs of ihe effect of post Covid concerns but we arc now more 5ignificanlly affected
by the double di8lt increa$e5 in our main costs of wages (driven by the increase in minimum wag¢), utilities and
insuron¢e.
We have continued to service the interest 4nd capitsl rcpaymenl of thc bounce back loan, and the P&L 5how5 a gain of
£17. We have invested in nearly £20,000 of capital equipmcnt for both gymnaslics and fitncss areas,
lllvestrnL¥nt pollcy And objectlves
The trustees Hre empowered by the artic1¢5 of memorandum to bc ablc to invest and divc5l the charity of fixed 855ets.
Th¢y also have the power to raise loans against ihe freehold of the property. There have been a small number of
IDvestrnents Tn new equipment.
It is the policy to consider all elements of an investment with respect to cost, longevity and whol¢ life costs. alignmeni
with the article of memorandum, environmental impact. safety and continuity of supply.
Rcscrves pollcy for future perlods
The charity has the intention too incrcasc the re5eThe fund to £30.000 lo fund unforesccn cxpendI￿r¢. Covid and p05t
Covid issues such as energy inflation have stymied this target but wc expccted to bc rcturning to this target within the
forthcoming years.
Page 3

Crewe & Nantwich Gymnasties &
Communities Attivities Association
Report of the Trustees
for the Year Ended 315t August 2024
Strnctur< governanee and managenyent
Covern5rt8 document
(CNGCAA) is registered as a charity (512109) and is open to anyone WILO wishes to take advantage of the facilitie5, iri
exchange of a minimal sessional pa)YneDt cutTently set at £1.50 for some low level exercise classes.
Th¢ arti¢l¢s of administration cover all aspects of the charity, the matn object being as slated below:
The objective of the association shall be..
a) to promote the benefit of the inhabitants of Crewe and Nantwich without distinciion of sex or political, religious or
other opinions by associating the local authoritie5, voluntary organisations and inhabitant5 in a common effort to
advance education and to provide facilities in the inierests of Social welfure for the recreation and leisure tim¢
o¢¢upation with the objcctivc of improving the condiiion of life for the said inhabitants.
b) To establish and maintain a centre for the promotion of the above objectives.
c) to advance the physical education and development of young persons under ¢ighte¢D yeprs of a8e and to ensure the
d¢velopm¢nt and o¢¢upation of their minds and the organisation or provision or a5sistsnc¢ in the organisation or
provision of facilities for physical recreation for such young P¢Tsons in the in¢eresis of social welfare within the area of
benefit.
In summary> we look to provid¢ facilities for ¢v¢ryone to parti¢ipai¢ in physical activity to maintain and improve their
well-being wi¢h a specifir interest in developing an enjoyment for sport in childrcn ofall abiliti¢s.
Recrultment And appolntment of new trusttt5
The AGM is nornially hcld in November each year and all trustees must apply for re-election cvery year. All asp¢crs of
the charity will be Lontrolled under the CIO rules,
All members are encouroged to ait¢nd thc AGM, and &nyone 15 cligible to st4nd with ihc exception that parkners of
employed staff cannot be managemeni trustees.
Page 4

Crewe & NantwKch Gymnastic5 &
Communiti¢s Activitie5 Association
Report of the Trustee5
for the Year Ended 31st Augu5l 2024
Strueturey goverD3nce and managemetht
Orggni54tional structure
The trustees meet monthly (in a similar matJn¢r to a board meeting) to discuss the past and future perforn)ance and plan5
of the centre.
There is a stsuctured framework to the meeting bas¢d on a standard agenda with pcri<Klic additions at times such
onnual appraisals. Each trustee takes a responsibility for an area of thc centre, covering finance. wages, maintenance. th¢
g)rynna5tlC5 area and the fitness s¢¢tion with reception. At each mecting there is a report on any significant issu¢s which
have occu)Ted during th¢ prcvious month and iiems that may tteed io be addressed going fgrwards. Minut¢5 are taken of
every meeting and reviewed at subsequent meetings.
There are two secondory monthly meeting behveen ttvo tr￿te¢S and the 5¢nior m¢inb¢rs of staff, ¢hair¢d by the
chairman. again with a st￿ctUr¢d agenda covering..
l) Health and Safety including a¢¢ident reports and equipment iEviews and any welfare issues.
2) Financial performance
3) Sta￿)ng el¢ments such as rccruitinenl and train5ng
4) Repair5. renewals and maintenance,
5) Customer numbers and feedback received during the month
01 Planned purchas￿ of equipment
7) Competitions and other similar activities su¢h as display day5.
There gre $eThior employees for both gymnastics and non-gymnastics areas PTesen¢ at the m¢¢ting'. on¢ of which primarily
overs gymnastlC8 the other fitnes$ ond relaied i*ms such as maintenance.
Fin8n¢ial transa¢tions through card pa￿entS or bank transftrs art controlled by thc chair and treasurer. All investmen¢
spend is authorised through the trustees committee, and all runring expenditure is cleared via eirher the treasurer or
chair.
There is an appointed welfare officer who is fvlly trained in child support and is independent of the centre staff. Two
trustee$ h8vc also received welfarc training.
All gymnastics activities are under the guidelines of British Gymnastics, and all membcr3 are insurcd through Drit15h
gymnastics. All officer5 And ¢mployce5 who have contact with gymnasts have DBS clearance. Previously the Wh￿e
report was being published. This ha5 now gone live and we can confimi that we comply with all aspects of the report
plus the further guidance from British Gymnastics. This is an ongoing process and wc respcct the guidance from British
GymnastlC5 when new procedures are publi$hed.
Induction and tr4ining of new trust¢e5
Tru5te¢3 are appointed to the committee based on the needs for ski115. W¢ en¢ourag¢ new tr￿tee$ to make themselves
aware of all aspects of the association b¢forc volunt¢¢ring for nomination.
Trustees spend som¢ tim¢ with each of the areas in the centre, meeting staff and gaining an appreciation of their
respective roles.
New trustees are briefed on the following:
11 The obligations of trustecs under charity and company law including the operalioDal framework and regulations
within the structure of the charity and wtth Teferenc¢ to ihe Memorandum and Articles of Association.
2) The business plan and the 12St 12 months accounts with any salient points and how the present and future plans
are linked to the financial perfomiance.
3) The staff appraisal scheme and the inter-linkage bettvcen the aspiration5 of the charity and how roles within the
r￿Mp￿MY hiiild Tnl¢> thp fiihiTe. plans.
Pagc 5

Crewe & Nantwlch Gymn&stlCs &
Communities Activities Association
Report of the Trustces
for the Year Ended 31yt August 2024
Struetur4 governAne¢ and rnanagemcnt
Re19ted parties
The charity has a long standing link with the local council (Crcwc and Nantwich Borough Council which changed to
Cheshire E&%t during 2009).Through a service level agreement ihe charily works in the community introducing children
to gymnastics through schools visits al all ages and skill levels.
We organise competitions where schools from the area are invited. 'fhey are enthusiastically 5UPPOrt¢d by up to 10
schools and a total of 110 children.
For adults, we have also created links with residential homes and have recently stdrted fitness programmes for th0￿ who
have mobility limitation. These have increased in popularily and contribute to our community activities.
A$ a result of our incre8$od aeiivitics toward5 r¢localing we have furthered our links with Crewe Town council attd loc41
MP, and h&ve maintained our conncction with Ihe local Chamber of Comtncr¢¢.
Rlsk man8gtm¢nt
The ¢ommitt¢c has put in place all rcquirements for Hcalth and Safety ¢ogc¢her with fiire evacuation procedures. Limits
are put on total numbers in thc ccntre at any onc time.Weekly checks of the effe¢livcn¢s$ of the alarm system are
und¢rtaken. Daily che¢ks of ¢8Q&P¢ TOUt¢s and w¢¢kly ¢h¢¢ks on all equipment are fornially r¢¢ord¢d. We also h&ve an
ind¢pcnd¢n¢ annual insp¢¢tion of all gynna5tlC5 ¢quipm¢nt.
The charity has been in cxistence for over 40 years 8nd the mojor financial risk is that of ¢omp¢tiiive activiry in the
health Sector and g￿nnastIc5 areas. To cumpete we must orrer a g¢rvice which is si8nifiLantly different. W¢ off¢r a wide
range of fitness faciliiies for all ages and gender and suppon thi5 Wlth wcll traincd pcrsondl instructors who monitor all
pariicipanis on a regular basis. Gymnasiically, wc providc tailored training from prc5¢hool io adult and pride ourselves
on integraiing all abilities artd 8iving oqual access to all. We believe that succcss in competition &¢ro5s a wide front,
together with in¢reasiDB involvement with higher ¢¢helons of th¢ UK gymnastics infraStrUc￿re is a key part of our
strategy.
We are ¢onscious of the need to build resiliertce into the finances and over the last hvelve months, we the have assessed
all major areas of spend and have restructured to improve the financial situation, however the significpnt in¢T¢as¢ irt
minimum wa8e and doublin8 of utility bills have not helped our creation of re5crv¢s.
Approved by order of the board of trustees on .
and signed on it$ b¢holf by:
Mr S Deeley- Tn￿tre
Page 6

Independent ExaMitLer'5 Report to the Trostees of
Crewe & Nantwich Gymnastits &
Comrnunities Activltles Association
Indtpendtnt t%#rniner'5 report to the tru5tces of Crewe & N#ntwieh Gymnastiu & Communitiu Aetiviti¢5
Association
I report to the charity tNstees on my ¢xamination of thc accounts of Cr¢w¢ & Nantwi¢h Gymnastics & Communities
Activities Association (the Trust) for the year ended 31 st August 2024.
Responsibilities and basis of report
As the charity trustees of ihe Trust you are Tesponsible for the preparation of the a¢counts in accordance with the
requirements of th¢ ch￿itIeS A¢1 2011 {'the Act).
I report in respect of my examination of the TTUSt'5 accounts c￿led out under Section 145 of the Act and in carrying out
tny exatnination I have followcd all applicable Directions given by the Charity Commission under Section 145(5Kb) of
the Act.
Independent ex8mlner'5 statement
I have completed my examination. l Confim) that no rnaierial matters have corne to my atten(ion in connection with the
¢￿￿MinatIon giving me cause to believe that in aDy material r¢5pect.'
accounting records were not kept in respect of the Trust L8 required by Section 130 of the Act. or
the accounts do no( accord with thos¢ r¢cord5' or
the a¢¢ounts do no¢ Comply with ihe applicable requirements concerning thc fonn and conten¢ of accounts set out
in the Charities {Accounts and Reports) R¢gula¢ion5 2008 other than any rcquirement that the accounts give a
true and fair view which is not a matter ¢on5idercd a5 P&rt of an indcpendcnt examination.
I havc no concerns and have come aeross no other matiers in c(Trnnection with the cxamination io which attention should
be drawn in this report in order tu enablc a proper undcrstanding of th¢ accounts to bc reftched.
Timothy McN¢al fcA
Hordings
Chartered Ac¢ountants
6 Marsh Parade
Newcastle-under-L)qne
Staffordshire
ST5 IDU
5th June 2025
Page 7

Crewe & Nantwleh Gymnxstics &
Communities Activitics Association
Statement of Fln8nelal Activitles
ror the Year Ended 315t August 2024
3118n4
Total
funds
3118123
Totsl
fund
Unrestricied
fund
Restricted
fund
Note5
Ineome and endowments from
Donations and legacies
15.000
15,000
Other trading activities
Investment income
218,973
21
13,058
232,03 1
21
208,904
Total
218,994
28,058
247,052
208,922
Expendltur¢ on
Raising funds
226,040
3.277
229,323
221.661
NET INCOMEI(EXPENDITURE)
Tr8D$fen between fuDd
(7,052)
9,231
24.781
(9.2111
17.729
(12,739)
14
Net movement In funds
2,179
15.550
17.729
(12,739)
Reconclll*lion of fundj
Total funds brought forward
(24,890)
223,083
198,193
210.932
Tot41 funds ¢orrled forwlrd
(22,711)
238,633
215.922
198,193
The notes fo]Tn part of these finan¢i&l ststernents
Page 8

Crewe & Nantwich Gymnasties &
Comrnunitics Actlvfitles A550ciation
Bal#Ret Sheet
31st August 2024
31ffin4
Total
funds
3118123
Total
fund5
Unrestricted
fund
Restricted
lund
Nole5
Fixed &s5¢ts
Tangible assets
72.207
2J8,633
310,840
302.562
Current 45s¢ts
Stocks
Debtors
Cash &1 bank and in hand
313
1,841
3,828
313
1,841
3,828
318
1,819
2.391
10
5,982
5,982
4,528
Credltors
Amounts falling du¢ within one ycar
(42,950)
(42,950)
(37,991)
Net current Issets
{36,968)
(36,968)
(33.463)
Totsl aJ5ety less current Ilabllities
35.239
238,633
273,872
269.099
Credltori
Arnounts falling due after more than one year
12
(57,950)
(57.9501
{70,906)
NET ASSETS
(22.711)
238.633
215,922
198,193
Vund5
Unrestricted ftjnds
Restricied fijnds
14
(22,711)
238,633
(24,890)
223,083
Total fundj
215,922
198,193
The t]nan¢ial 8tstem¢nts were approv¢d by the Board of Thstces and authorised for issue
. and were signed on its b¢half by..
on
Mr S Decley- Trustee
The noles fonn part of th¢5¢ financial statements
Page 9

Crewe & Nantwich Gymnasties &
C(trmmunlties Aetlvitie5 A550Cl8tio
Note5 to the Financial Statements
for the Ye#r Ended 31st August 2024
Accounting policies
Basss of preparing the financial statements
The fJDancial Statements of the charity, which is a public benefit entity under fRS 102, have b¢¢n prepared in
accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities.. Statetnent of
Recommended Practice applicable to chariti¢s preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland {FRS 102) {effectiv¢ l January 2019),,
Financial Reporting Standard 102 'Th¢ FitWi¢iAI R¢porting Siandard applicable in the UK and Republic of
Ireland, and the Charities Act 2011. The financial statem¢nt5 have been prepared under the historical cost
onv¢ntion.
Incom¢
All income is recognised in the Statem¢ni of Fin80¢ial A¢tivitics once the charity has entitlement to the funds, it
1$ probable that th¢ income will b¢ r¢¢¢iv¢d and th¢ amount ¢81) be m¢&sured reliably.
Expenditure
Liabilities are reeognised as expendithre as soon as there is a legol or consiruGtive obligation committing the
charity to that exp¢nditure, it is probable that a transfer of economic benefits will be required in settlement and
the amount of the obligation can be measured reliably. Expenditure is accounted for on an aecruals basis and hos
been classified under headings th81 aggregate all cost related to the category. Where costs cannot b¢ dir¢¢tly
attributed to particular headings they have been alluca(ed io activities on a basis consistent with the usc of
resources.
TAniiblt fixed A$sets
DepTcciation is provided at the following annual rates in order tu writc off cach a5S¢t over its estimated useojl
life.
Freehold property
rixLure$, fittings & equipment
over the expected usefijl cconomic life
150/0 on reducing balance
Stocks
Stocks are valued at the lower of cost 8nd net realisable value, after making due allow&nce for obsolete and glow
moving ilem$.
Taxatlon
The charity 18 exempt from tsx on its charitsble activities.
Fund accounting
Unrestricted ￿ndS can be used in accordance with the charitable objective$ at the dis¢retion of the trustees.
Restricted funds can only be used for particular restricted purpose5 Wlthin ihe objccts ofthe charity. Restriclion8
rise when specified by the donor or when funds are raised for warticular restricted purposes.
Futther explanation of the nature and purpose of eoch fund is included in the notcs to the financial stht¢m¢Dts.
Page 10
continued...

Crewe & NanhYi¢h Gymnasties &
Communities Activities Association
Notes to the Financtal StatemeNt5- Colltinued
for the Year Ended 31st August 2024
Other trading activitles
3118n4
3118n3
Donations & fjjndraising events
Shop sales
Fees
Room letting
17.907
1.057
212,502
565
2.239
1.149
205.348
168
232,031
208,904
Inv¢5tment income
3118r24
3118123
Deposit a¢￿Unt ini¢rest
21
18
Ra￿Ing furtd$
RalslnA donatloni and leEACi
3118124
3118123
Support ¢o$ts
229,269
220,819
Try51ec5' remuneratlon and beneflts
Th¢re were no trustees, remuneration or other benefit5 for the year ¢nd¢d 3 Is¢ August 2024 nor for the year
ended 3 1st August 2023.
Truslees, expenses
There were no trustee5' expenses paid for the year cndcd 31st August 2024 nor for the year ended
3 1st August 2023.
Staff costs
The average monthly number of employees during ihe year was as follows:
3118n4
3118n3
21
Staff
No employee5 received emoluments in excess of £60,000.
Pagell
continued...

Crewe & Nantwich Gymnasties &
Cornmunities Activities Assoclation
Notu to the Flnantlal Statements- continued
for the Year Ended 31st August 2024
Comp•r8tiv¢s for the staternent of financial activities
Unrestricted
fund
Restricted
rund
Total
funds
Income and endowments fro
Other trading activities
Investment income
208.904
18
208,904
18
Totsl
208.922
208,922
Expendltur¢ on
Raising ￿ndS
219.533
2,128
221,661
NET INCOMEI(EXPENDITURE)
(10,611)
(2,128)
(12.739)
Re(onclllatlon of funds
Total funds brought forward
(14.279)
225,211
210,932
Total fund5 cArrled forward
(24,890)
223,083
198,193
TAnglble fixed 8s$ets
Flxtures,
flttlngs
& equipmertt
Frcehold
property
Tota]s
Cost
At 1st September 2023
Additions
280,783
378,133
18,513
658,916
18,513
At 315t August 2024
280,783
396,646
677,429
Depreclalion
At 1st September 2023
Chorge for year
28,292
1.055
328,062
9,180
356.354
10,235
At 3151 August 2024
29,347
337,242
366.589
Net book VAlue
At 3151 August 2024
251,436
59,404
310,840
At 3 1st August 2023
232,491
50.071
302,562
Pag¢ 12
continued...

Crewe & Nantwich Gymna5tlC5 &
Communitles Activitie5 Association
Notes to the Financial Statements- continued
for the Year Ended 315t August 2024
Stocks
3118124
3]￿￿3
Stocks
313
318
io.
Debtors: amounts f&lllng due within one yegr
3118124
3118123
Trade debtors
Other debtors
VAT
1,185
513
143
1,690
124
1,841
1,819
Credltor8.' #Mo￿nts f#lling dut within one year
3118124
311812J
Bank loans and overdrafts (sec note 13)
TTad¢ creditors
Taxation and social security
Othei. creditors
14,431
3,873
15,636
9,010
14,431
6,952
,362
,246
42,950
37,991
12.
Credltors: #mounts fillini due after more than one yemr
3118124
3118123
Bank108ns {s¢¢ note 131
57,950
70,906
13.
Loans
An analysis of the maturity of loans is given below..
3118124
3118123
Amounts fallin8 due within one year on demand..
B8rtk loans
14,431
14,431
Amounts falling behvecn one and h¥0 years..
Bank loans- 1-2 years
14,624
14,624
Amounts falling due ￿tween tsvo and five years:
Bank loans- 2-5 years
43,326
56,282
Page 13
continued...

Crewc & Nantwich GymnAStre5 &
Communities Aetlvlties AssociAtion
Note$ to the Financiol Statetnent5- continued
for the Year Ended 31st August 2024
14.
Movement in funds
N¢t
movcment
fund$
Transfer$
between
funds
At
3118124
At 119123
Unre$¢ri¢t¢d funds
G¢n¢ral fund
(24,890)
(7,052)
9,231
(22,711)
Restrleted funds
Other
223,083
24,781
(9,231)
238,633
TOTAL FUNDS
198,193
17,729
215,922
Net movement in ￿nds, included in the above arc as follows..
Incomlng
resourees
Resourees
expended
Movement
n fund5
Unre5trleted furtd$
General fund
218,994
(226,046)
(7.052)
R¢$¢ri¢¢ed funds
Other
28,05¥
(3,277)
24,781
TOTAL FUNDS
247,052
(229,323)
17,729
ComparY4tlvcJ for movemont lrt funds
Net
movement
in fitndj
At
3118123
At 119n2
Unrnstri¢ted
G¢neTal fimd
114,279)
(10,611)
(24,890)
Reslrtcted funds
Other
225,211
(2,128)
223.083
TOTAL FUNDS
210.932
(12,739)
198,193
Page 14
eontinued...

Crewe & Nanlwich CytnNa5tics &
Communitles Activities A550ciation
Notss Éo the Financial Ststements- continued
for ihe Year Ended 31st August 2024
14.
Movement in funds- eontinued
Cotnparative net movement in fvnds, included in the abov¢ ar¢ 3s follows-
In¢omlng
rcsourct5
Re5vurccs
oxpended
Movcment
in funds
Unre5trlctcd funds
General fund
208,922
{219,533)
(10,611)
Restrlcted fund$
Other
(2.128)
{2.128)
TOTAL FUNDS
208.922
(221,661)
(12,739)
A current year 12 months and prior year 12 months combined position is as follows:
Net
movement
In fund5
TraDsf¢rs
between
runds
At
3118124
At 119122
Unrestrleted fund$
G¢n¢ral fund
{14,279)
{17,663)
9,231
(22,711)
Restrl¢t¢d funds
Other
225,211
22.653
(9,231)
238.633
TOTAL FUNDS
210,932
4,990
215,922
A current year 12 months and prior year 12 months combined nct Inovement in fvnds. in¢luded in the above ar¢
as follows..
Ineomlng
rcsources
Rcsourcej
expcnded
Movement
In funds
UDr¢$lricted fund5
General fvnd
427,916
1445,579)
(17,663)
Restrltted fundj
Other
28,058
(5.405)
22,653
TOTAL FUNDS
455,974
1450.984)
4,990
Page 15
ontinu¢d...

Crewe & NaDtwleh Gymnastle8 &
Communities Aetlvltl¢g Association
Notu to the Fillaneial Statements- continued
for th¢ Year Ended 31st August 2024
Related party disclosyr
There were no related poty trattsactions for the year ended 3 1st August 2024.
Pag¢ 16

Crewe & Nantwich Gymnastiu &
Cornmunities Activitiu Association
Detailed Statsrnent of Financial Aetivities
for the Year Ended 31st August 2024
3118ll4
JI￿ll3
Ineome and endowments
Donatlons and leE#eies
Grants
15.000
Other tr4diNg 8ctiYitie5
Donations & fundraising events
Shop sales
Fee$
Roorn letting
17.907
1,057
212,502
565
2,239
1,149
205,348
168
232,031
208.904
Jnvutment Income
D¢p05it account interest
21
18
Total Incomlng resour¢es
247,052
208.922
Expenditur¢
Other tr4dlng aclivltle5
Purchases
54
842
Support costs
Managemenl
Wages
Rates and water
Insurnnce
Light and heat
Telephone
Printing, p05tage, ststionery and adv¢rti$ing
Cle&ning and sundrie$
Travel expenses
R¢pair5, r¢n¢wals and maintenonce
Coachtng
Gsrynna3tics expenses
Depreciation of tangible and heritage assets
Bank interest and charges
Loan interest
149.770
7.503
9.451
12,549
877
307
5.448
600
10.274
6.778
5.969
10,235
2,436
3.486
152,61
7.331
6,304
13,619
887
1,000
5,330
5,941
9,940
10,017
2,348
2,701
225,683
218,029
Governance costs
Accountancy and legal f¢es
3,586
2,790
Total rvJourc¢5 expended
229,323
221,661
L¥et Incomel(upeDditure)
17,729
(12,739)
This page does not fom) part of the Statutory financial siatemenis
Page 17