Registered number. 06125927
charbty number 1201820
HULME GRAMIAAR SCHOOL
(A charitable company limited by guarantse).
REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 AUGUST 2025
•AEXIBCW8"
03103r2026
COMPANIES H￿jS£'
f#248
"Atwtrwj"
1710212Q6
CC*PANES HOUSE
A12
#120

Ji
HULME GRAPIMAR SCHOOL
IA¢haiilabl• ¢ompany limited by guarnnts•l
oKrENTS
Page
Rele￿n¢t and adminlstr¥&v* delarf¥ olthe Comparry. rt5 G￿mOr￿ and ad¥ts•r4
Governors. report
Independent auditorfs rnport OA the finan£l•l slaternents
Statement of ffinaneial *¢tivilt•s
2-16
17-20
21
22
Slatèmenl of cash llty*s
23
Notes tts thè kn4ncial 5tstgmgnts
25-47

HULME GRAllJlJWiSCHOOL
IA¢h•witable 60Tr4>ary lifflited ty •u•Anknl
REFERENCE AND ADMINISTRATIVE DETAILS OF THE COMPAIIY. ITS GQVERNQRS AND ADVISERS
FOR THE YEAR ENOEO 31 AUGUST 2025
Go¥emor*
G WTheek*)n CDW. Ffoo. Ct
A Coyma LLB (Hons). FCILEY. Char
S Sayer 8s¢. MRICS. Chair lappointod 19 Novomber 20241
J D Greer￿￿0d ￿ (Honsl. klRICS. MCIOB
h Hofgale BA Ac￿ (re￿ne￿ 23 Junè 20251
R S Ilingworth Bsc (Hons) (resigned 31 August 2025)
R 8 Lotrley MRICS I￿$￿]n￿d 31 March 20251
Dr G Puffts PhD. MPhys (re$K￿ed 23 June 2025)
A S Rthrds 8Sc IF*Jnsl. PGCE
D SFencer FPFS. IMC Ires#Jned 23 2D251
V Strth•r LL8
J M T Suldrffe BA IFknsl. IIEd
J Wikms Bsc (Honsl laFWUrted 23 20Z5)
Company mgi5t•r
number
¢612W27
Charity r¢gistrr¢d
nwnb•r
1201820
Registsred offi
Chamber Road
Independent audll•r
Cr¢m¥È U.K LLP
3rd ffl¢
Sl George5 House.
&fj Peter Sl. mar￿ster
112 3NQ
B•nk•fs
HSBC
109 UnA)h Slrett
ljdham
L￿¢aS￿l
OL1 1RT
Solicitors
Wèvyilmar
Pall Mall Cowl
61*7 ￿n9 Slteet
manC￿ster
M2 4PD
Clerk to th& Gov*mort Kath Sh
PriA¢ipal
ten Pank￿r51
I￿estMent￿ana9Ors
Investe
3 Wdliwl Place
L•Èds
LSI 4AP
Page 1

HUUIE GRPJWR SCHOOL
IA¢h•rflable comparry Ilrntted by guar*e)
GOVERMORS. REPORT
FOR The YEAR ENDED 31 AUGUST 2025
INTRODUCTION
The Governors IWanThual report the aU￿rted fmancial slaiements of tha Htrfme Grammar
scho￿ for the I Seplemter 2024 to 31 Augusi 2025 under the Chaitti'e$ Acl 2011 and the CompaniesAct 20(￿,
tO9ether with Ihe aLKliied finarrid sklements for Ihe year and ￿nfjrrn Ihai the laller cOM￿Y ￿th Ihe
requwements of th8Acts and Ch•rths SORP 2019.
Objqctlves and act1v￿e$
08JECTS
Tho objo¢ts of lh¢ a$ oudined in the MernoraThlum •¥1 fvtid8s of ASSo￿atrOn, are to fvrlher the
education of chthlren and young P8OF40 by th* prow$iffi of $chod$ In or near Oldham. This ind￿JèS the
prows¥JTr of related eAlucat*Jfta athbes commuThty-based ￿￿tIati¥eS that tenefrt the witder public.
The Sthoc4's aim is as fthkns..
The Sthoofs ovefarchng aim (s to delr*pr eLIucal￿ Ihatt*rs tothe unHiue needs 0188ch student.
By doing 50. ￿ in5trulion slibves lo offer the hKJhesi quality edKation. ensurin9 Ihal $tuderkts excel
academTcaJy and thri%* In all aspects of their deveknprnerrt. The scho￿.$ Mission is lo equp 5tudenls for
5ucce5s in iheir fubjrg car8ers aThJ sludi4s. rqgardl¢s5 of Ihp path5 they choo$o. This ¢ommitment to eX￿Ne￿¢e
a5 been centra to the School'$ wrpose $ino As estaWi5hment in 1611. Over Ihe ¢eniu￿. the S¢hoc4 ha
undergone various transform3b"on5. yel 115 de(&"cation to providing exCWti￿aI educatiDTr lor ￿lstUdentS from
È&ly yeats thrtyjgh to 18 tem￿￿5 sleadFast
The School acti%*ly embraces modem adVan￿m￿￿$ in ¢Lllitthum design. texhry method5. and lecthokgy.
recogntsing Ihe value Ihey bring in 8nhaTrung the educatjonal experience. Al the sarne trme. the Schorll 15
Mindf￿ of the polenli* It5k5 as50aaled with devdopmen15 S￿h as Social metha and digtsl plallDrms. irKluding
ArtffiC￿l IntellTgence It ts our re5pon51blrty to en5UIE lI￿t students are Wel￿prepared lo navNJate these tcols
safety and reSpO￿l￿1y. Èmptr*erNw them lo thrr*a in an iweasinglydi9￿ worfd.
School prwde5 e(*Xa1w￿ to pupls frem tr* age of 2 to 16. offpn.ng • ¢￿til￿o￿$ 3rtd supwlive leaming
joumey frorn earty years through to Sixth Forni.
Sch¢Jol 1$ woud iooffer a I￿Y Gtio(Ixational en¥¥onmerrt. relkth9 tyJrc•mmlment to a ms)dem. indu5ive.
and tylarn￿ learThng exwence for al wf4s.
Coeducation prD¥ides numeroLkS beneffts". il p￿pare5 sbjdents life beyorKI sch￿1 by reflecbng the dThter5e
w¢rkl in whKti Ihey IN* and th. erwjrzges rnutuat iesped. broadens per$pective5, and enn¢hes
dassroom rfixussions Ihr¢xryh a rzrvJ8 of woinls. By leaming and gr¢Mng together, boys and 91rts
Ihrive socially. emotionalty. and lostÈntJg a b*nEed ¢duEation.
In fr)rmul*"ng th¢ SclKrfs objec1￿5 and shop￿9 its nbakn. the Go¥errY)rs hame ¢arelulty CO￿￿rEd tha
guidance prJwdod by Ihe Ch*iy C¢ynmissN)n publ￿ beneffic Their parti¢Lrtar fotus has béen on
undwslanding $uWpmenlary gupJelir*s r8laied lo ltte athancernent of ￿ti0fi and the inplutions of
. STRUCTURÉ AKI DEUVERY OF GOVERNAN(X
Histoiical ea¢kground *fvd L•gal StrucluT•
The true ongins of Me schcd can hEwftver traced back to 1811. In the 18th century a boys. and 5irfs' sehool
were e51ablished on Ihe p￿S$nt Schoc4 srfe though lundlor￿ as separalè s¢￿$ lo all intènts and
purposes. though krTh¥n as HLdme Gramm* *hod$. The Schoc4 was uKuporated as Objham kknlm8
Page 2

HULIIE GRMAPAAA SCHOOL
IA ¢lwilabie cornpany Ilmiied ty guardnle
GOVERMORS. REPORT ICOMTIIIUEDI
FOR THE YEAR E14DED 31 AUGUST 2025
ObiKts"¥es and *¢ti￿tieS leon￿A￿e￿I
Grarnrnar S¢tsJ¢ls. a cofflparby ￿m￿￿j by guarantee Rtystered Nwnber 6125527. Wilh effera from 1 Septembef
2007. Tho business ol the School was Irafjsferred by ￿ of a Bu5ine55 Transleg Agreement to the lirndÈd
compafiy from the uTrwporated ctiwty the terms of 8 new Charty Commisston &*eme dated 2 Juty
2C4)7.
The Charity Commiss¥)n sth8mo indudod a uThbng direcb.on Ihat Ihè ass8ts relained by the original
unRKorporated charity Imairty the enthjwed frjndsl artd those of the School transferred to the company to
be adminisiered as bf Ihey weie C￿. Acurdith. Ihese a(xounts present the combined assets of the
uninwporoted charty and the wrnpany litnitgd by guarantsg ￿dar tho torffls of Ihe unrfxvJ direcl¥Jn. The
¢ornpany 15 the sol• truste8 of the unirwrporatÈd thanty.
Go¥em8nce Framv4vork and BO3￿ Cornposltion
Re5ponstbthty ftsr the Sclth liÈs wth a 8Dard of Govefnaf
The ArUde5 01 A$swatrA) al￿ a rnaximum of 14 GDvemuTs of byhich should be ￿inated a5
repre$•ntats.￿ of the Qldham Metrowitan Borough Councl. The nOm￿al•￿ Govemrs a￿ appointe(I for a term
ofthree years. The rEfflaining GOV*m￿ are elecred by a general ffleetrTrJ of the Mernbe
The Board rwr•n$ rm￿ comrndted to losterir¥J a rfNerse. skined. and ba￿nCed grojp of dected Governors.
dra￿n9 on a *ide range of expwience &¥os5 educatson. bjsiness. and other seGiof5. This commitsnent
indudes a proactive approach to athle￿￿9 gènder. age. arvj prole5Stunal th￿lty. ensuring the eoard refiects
both the cummunty rt serves * the e¥th"ng needs of the s¢￿)01.
Governor Recruilrnenl Induc1i¢￿ and iknelopmtnt
To 5UPPOrt Ihi$ goal. a robusl and ￿￿$￿bIl5￿ pc4w goYern5 Lhe rt¢ruilm¢nt, Dnboardiny. and dgv¥Wment
of Goverr(sf5 T￿$ p¢li¢y tndudts Ihe VOTrnsv)n of ¢0mpreh￿S￿e Malen￿￿. ftsrmal tonfimiati¢n of
theY commrtrnent lo seThe. ¢letaded briefirys on Iheir rc4e5 and responS￿￿s. dear disthsure proc8dur85 for
any pptential ol interes( an¢J ongcAr¥J acces5 lo rdewst Irairwng and development opp(wlursilres.
Tli$ struthred apprDac* Ihat ai GO￿nor5 ￿ W81.prep3rod. wthnfr*med. and futy eWiPp￿ lo
contsoute offo¢lAe￿ to strategK dtredxm o¥wsW of the Sclwl.
To ￿SUre the &Jard is w￿￿rOunded and ewlpped wth the r*¢essary experb5e, GD¥ern￿5 are thou9htfully
selected the aim of prO￿thn9 strategic guKlatKe and 8ffec*e ovw5i9ht acros$ all areas of lh• &h¢ol's
opera1[￿5. The selKtion kyocess indude5 ir*er•ie*$ r￿J￿ed ty rtsrenl Boad members to assess the
surtabilty of pr05peth* decled Governors.
Qrw appointed. n&v Govemors urthrgo 4 thorough prowmo. t¥tiith rrdudo$ meetiTrg$ ￿th Ihe
Prin¢¥0 and the Dirtor of Finance and OPer*￿n$. attess to key docufflenlation. artd ta"lared trair¥rtg IN area$
such a5 5afeguardiThJ and g)vernarKe. on90￿g profeS5k￿al ￿e￿lOpment is a prvjrity. and Ihe Clerk lo the
Cov¢mors maintsins a deladed record of ail trainFng undertaken. induding bolh Inlemal se$5in5 and extem
oppcrtunit*s. lo supwrt ¢￿￿n￿¢￿S kaming and Inforyned deci5wmakin9.
Commith• stN¢t￿ and Me•ti1198
Tl* Board ol Governws canvenes a rn1nm￿ of mree annual rneekngs 10 deliberatè on FrlKy and 5tralegic
affoirs. Additionalty, Ihe SleeriThJ Commtse. compnw ol IhÈ ChaMper$￿￿ frum various sub ¢<>mrnrtteES.
¢onvenes on thtEe ocGastM5 year. Tfwr indude5 exerci$iry scnthy ar¥J proMdiAg
ON operational matters for the (￿plete Boarrfs con5WJwa￿.
Finance and Commowa Committ90 k4ay5 a vrt4 rde li strerWEning the Schoof$ finarKi#l govwftance
8llLI guiding the strategic imOemenlaiion of its ￿￿er ts¥ek)pment p4an. mgeb.ng at kna5t fpur b.rnes a year, the
¢offlmittee ¢$ ￿$[*￿$1￿e for over￿n9 the audrt prwatKvt w¢ce$5 and W￿kS d05ety Invèstrnent
Page 3

HULME GfWlhlAR SCHOOL
(Adwllable eornpany Irnlted by glqrnntrel
GOVERMORS. REPORT ICONTr4UEDI
FOR THE YEAR ENDED 31 AUGUST 2025
Ad¥isws to ￿SL￿? Ihè Schoc4'$ MM$tsnenls are marhaged w￿lenty. effecb"v*, Wkl in 4ignmonl wrth lon*lgnn
FurtheThore. Go¥ernors ak50 preside o¥er the ScFK)ofs Ed￿al￿ and fr￿1th Safety and Environment
Comrnrtiee. %thi¢h convenes per term. In addil*)n. for specthc proje¢ls. ad ¢4)mmrttees can be
estzbli5hed as needèd.
Tho remunpratgn fvr the Prirvp* is Set by the go¥err*ng Board. takin9 Inits accourrt bethnarking surveys. As
lor the SenTh Le8der5hip Team. thEf reMu￿3th1o is estab115W by the bLrt in close consultation ar#1
c¢rnmunicab"on ￿th g￿erTh￿s.
The Go¥errKrf5 have seTrtd dwng Ihe yèar ar•".
#£&?
G Wheeldon CDty. FIOD Vtce Chw{to 23 Jun 20251." Chair {from 23 Jun 2W251
A Coyne LLB IHonsl, FCILEX
Vice Chair Iwel 23 Jun 2025)
S Sayer BSC. M￿Cs
Ch￿r I￿r23 Jun 20251
J D GrÈenweod U (Hensl MRICS MaOB
A Holgal8 BA lthsl ACMA Oeft 23 2025)
R S lllingworfh 8Sc IHonsl
R B Lobley MRICS Ueft 31 Mar 2025)
Dr G Pur¥es PhD, èAPhy5 Oeft 23 Jun 2025)
A S Richards 8Sc IH¢J)sl. PGCE
O Spencer FPFS. IMC Ilell 23 2025)
V Stocker LLB
Chair Ilo 23 Jun 2025)-
J M T Suidffie &4 (Hois). MEd
J WdlAms BS¢ (Honsl
Govemor
Gavemor
GOVer￿r
Govemor
Governor
Governor
GDvemor
#£s
£&
*£%
GOv￿Aor
Go*rrKJr
Steenng Cth*mittee
F￿a￿e aThJ Commereial C¢mmntee
Education Committee & Marketirvj Cconmitiee
ALLdii Committee
Facilities Committee
Pareni of a pup4 at Ihe s¢hoc4
Representati%e Govwnor appoinled by CXth4m MBC
Thg Pmcipal, Mw5 K Pankhurst. aThJ the O¥e¢tor of FinarKe aNI Owrat*)Ths. are reSponsi￿e lo the GobprywJtS
the day to tsy rnanagernent ol the SrbxL TW are yjpported by the Sen1￿ Leadership Team which
consisls 01)."
Mrs Z Ward Head of Prep
M C Jones
Deputy Acad¢mi¢
A H Marshall Deputy Principa Pxtor
Homby
DIred￿ of Developmert and Pubk 881￿ft
A8e
Hoad of Sixth Form
R Twner
Assi5tsnt PrI￿Pa Ac•J8m
• PUBUG BENEFIT
The G¢)verrrfrs have cornF4￿ vnlh trE duty tr) ha¥* re9ard 10 tre Charity Commi5s*)ns guidance on puNIc
beneffit in Ihe course of ca￿lft9 wt their responsiblrft85.
R￿￿e*j li a cornm￿￿ alre•fy Wi etMi¢ aThJ soc•1 ￿Tr￿r5￿. the S¢lthl 1$ deeply commrtted ￿ openiny 11$
Pa￿4

HULME GRAIWAR SCHOOL
company brnited by guaAntr*l
GOVERNI)RS' REPORT ICONTIMUEOI
FOR THE YEAR ENDED 31 AUGusf 2025
Oblectlves and a¢tl¥nlv4 I¢Dnlinu•dl
door5 to an ￿der range of farn1￿. Our Thing PW#t Df wi¢>J5bM and eqi#ty defirrts we ￿. an
insthjbon driven by both rnfyal purpose and a ￿$￿1￿1(ty to Il* pu￿1¢ g>)d. H￿rne'S kgxy as a fort% for
social m¢)bility continue5 to shape ￿J[ miwon today.
The fees of 113 12024." 1241 thiklm were ￿b$*lIst￿ In fijl. part. n Ihe a¢ademK year 2024fL5 thrtyJ9h
mean>lesled bursaw and Ihe cost of these remiss&)ns. before any donabons towards th￿. amounled to
£804,54712024." £752.4031 e9uP￿ent to 70.9%12024". 8.6%) of9r055 I￿￿"0n 188s.
The GowAmot5 are do0￿Y cornmbtt8d to m*nlainiru an 1ftdusi￿ fee struclure that broadw￿ 2ttess for famlllgs
fr¥n ￿ backgrcmmds. They *so recogni%e that attracting and retainfftg ex¢eptional staff is ess•ntial to su$taining
educat¥)nal ex￿l￿nCe. ￿OngsIde this, to ivvest in the Schoofs f3￿r￿e$ and infrastruGlurv lo
prowde an QL5tsland￿9 JeamiThJ env¥onrneDL Balanc4n9 alFordabitity exc￿lenCe remairs a key locus,
en$uring the thrNes whthe stawffj to rts princyles of atcess, qualty. and lo￿terrn sustanabl"ty.
In keepiThJ with chariiat4e status. the makes it5 faclth85 avaflabk to th8 wkler Comm￿rtY such as
lo¢al $ptsrt$ thbs and othef Organisat￿n$ when npt ¥) use trs sludents. Tl*se arB ollered eith¢r freè of ¢harge
or al stgnffjc3nty reduryl rates. Examrles WL*JJe".
Us• 01 lh• Sports Hal ty local leolbal, ¢r￿￿et. ￿al and tsble ten￿ dubs, and lo Iwt distri¢t Compe￿.￿"0nS in
these sports.
. Use of the Sports Hall by loca kntw. citket n2tbal and trblÈ tennis thbs. a￿1 lo host distn.ct cornpetilKJns
in these spcrfts.
. Llse of ihe sch￿ s W by a rdwious group
. Use of the swimming pool by l¢xal dubs
. Use of the School pL3yiTrJ fjek15 by hxal Schoo
. P￿1]S particpaled fft Ihe DJke of Ethbwgh a*¥ds sch8m& organiW ty the Scknl as part of w&thiL* bley
pmided St￿lte to the tommunty
. Use ufschcd tatilitiès fu exarnlnat￿ puwps by IheA$50cialed B￿d011he Roya schty￿s ofmu
The SC￿01 15 dedicafed to d￿1￿￿￿0 mean1ryh￿ b**frt in accordance VAlh tts charitabje purpose. We
acivdy eryage with the locd ccfflmunty ihrough ed￿at￿)nal outreath, burwy support. partnu5hips Ihat
premote so0￿[ moblity. economK gro4th and ￿￿l$J￿r ojvthme
The Governors have gNen cafyfvl t¢)nsiderotion ttj 1he Charity Commissiorfs guid￿Ce on benefft in
setting the ScI￿,s ob)ecti¥es and F4anniry it5 &1p￿S. Our nbalwes align with coro th8me5. ￿8￿ed
the Vruted Nations &Jsfairta* Debtbwnerrt Go* ISDGsl:
. SciBnce, Technc4ogy, ETrJineerin9 & makneffla￿ ISTEMI
. Art & Lrteracy
.s￿rtaAC
. ctimate & Consef¥*on
. Mental Heahh & Wellbew￿J
. Diversity & Indus*)n
Fin4ncial Assi5tanc• and Ec•n¢>rnic Impa
The S¢￿)01 is dedi¢ated lo widenirvJ access to higWL41ty educabon. In Ihe 2024125 acadeffl￿ year. the School
3Uoralod 0¥8r £8QO.OQQ ¥) mean>l¢sted bLw$a￿. etsaW•i9 $￿ertts lo attend eithei on a fully lunded oi
$Lthidiswd basis.
As a cornerslone of Oldham cornmunty, the Schoc4 makes a SLth*antial contribution to Ihe kta] Konomy,
swtaining mose Ihan 180 jobs and hdping to txmld avibrart, reslvènt. and wosperous c0mmL￿1ty.
Page S

HULIIE GRAIAAIAR SCIIOOL
(A¢harflalAe eornpany limited byguar
GOVERNORS. REPORT ICONTINUEDI
FOR THE YEAR ENDED JI AUGUST 202$
ObjqctiV95 and aelfvlt5es Itanthwll
charitab￿ Giving and Voluntwing
Our stL&lenis play an th rde in cornrnunty seTrKe, fostefry a strong sense of swal [psp￿Siblfy and
leadership. Over the pasl year. ehe School has raised more than £4.IYJO fvr a range of char￿e$. It￿lIdIng
Mag9ie'$. Oldham Food BanL YoungMind5. and ChRdren in Need.
Educational and Cofflrnurmty OutrEach
H￿rne Giammar Schod rs commAled to enriching leaming opW1L￿it*$. foslwing sk1$. aTrJ irspiring fviure
generabons thr¢xoh pafft*rships with lo¢af sdKo15. ¢h7rtes. and bu5in55es.
STEM and InrThation'.
Hosted a week of STEM xb¥il%s as part of the Mand*ster Sc￿Ce FestN￿. debates. eThgineeiiThJ
challenges, had¢ath¢￿. aThJ cooing TMOfkshop$.
. Ran the P￿ary En9in¢er Chalenge. in%thn9 kncal in handsvQ7 engirteeri￿ projgcts SUPPDrfod
by prclesshxal enyineers aTh1 &"xth FrMTr $ch￿ar$.
. Launched the first Junty)r Hackalhon wdh Digrt<Al> teathng toth"ng. Al. and obersecurty to Year S and 6
slu(lents.
. DelNered th• Cothg &￿￿$3 Pr(4Trmme for teac)￿r5 with The SmalFiece Tru5L provid￿9 LEGO Sp'k
Prime and CPD trwirYJ to enhance dNJital leamirry in srknoob.
Lrtera¢y 8nd Sloryieliry".
. Introduced Ihe Winfield LiierxyAward to inswe ueaist aL¥th$ Olthwn. wilh *i￿(S rAelxaled at t
Madeleine knndey Book Centre.
- Run5 Wt*kshops and renamed Ihe scw libraryin horw offtymer t*admistress Margartt
Design. Food Techno￿￿. s￿. and Healh..
- H051ed design and fcr>a techrvJloyywDrk5hops lor Pfinary p¥ils. aAwgrirthtve baking and haTrts-
on projects.
. Partnered wlh Oldham At￿￿ Commthty Trust lo make sp)rt *¥J wdltein9 accessknk tlwwph inithatives like
the Hulme Grammar Famfy Sland.
Raising A5pwabon$=
. Ho$iod Carger8 Fair¥ Tor ry¥pr 45Q st￿jentS Xross bYNnary and se¢ondary sGho¢As. 25+ emplw.
unNersib'es. and tratyirvj prowdors off¢ring
Throu￿ these initialNes. Hulme Grammar ernpowets pupils. SWrts edu¢ators. and str•ngth*n$ th• lo¢
¢omrnuruty, advanong resF<Jnsiblity. indusiffi. and
T8a¢her Trdlnlng and Contribution to Educa*"o
The School is ¢ommittEd to advanc￿9 leacl¥ry prDfes5itffi t￿ dosfr ccdlatoratrJn a rang8 of
wovth. Our i￿lail¥eS sncbjde..
. Hosting schtsol KAacements for tra￿￿ teachers
. Offering exPer￿nCe days w05pecbve educators
. Conlrbi Jling k* ￿ni￿[Sit￿tra%od leachertrainiJv4 wtsjrarnrms
Each year. the ￿Or4 pro￿￿$ around 15 trai￿ leatheF5 %•ith harK15-on placem￿t5. 8qui)pAig Ih•m the
pr¥ty¢al skAls and insryhts p5sentsa ft+r 8 Suc￿s￿￿ career In edlrakn.
Be>rnd d¥e¢* training 8UPFrf several of rw staff Se￿ a5 Examirws arnl Modwatofs, sharing ts"r Èxpertise
Pag8 6

HULIIE GRAMPIAR SCHOOL
¢haA*blv ¢ompany fThited bygu•rnnlE*l
GOVERNORS REPORT IcoimNVED)
FOR THE YEAR ENDED 31 AUGUST 202S
Obiectives and •GIi4Tities leonkn
lo uphold hwJh standards in nab.onal assessments and strengthen educ*on¥ pracfice$ a¢ros$ tho se¢ior.
We ￿$0 auNety partKipale in wof8ss¥Md development irk*atr¥es. fostering kntywlety exchan9e and Ihe
sharing of best willmn tr)th thg Igc713nd nat￿￿1 ed￿•*1)n.
• RESPOMfdBILmES OF GOVERNORSICIIIECTOR
Th¢ Go¥¢rrbJrs. who also Se￿ as dyeclors of Hthe Gramrnar Sdwl fw the wrposes of cornpany law. afo
responsible for prepanng Gov2m0￿. Annual Report and the financial Statements in 8ccord8nGt wth
applrable law an¢Y United lfjngdom Gener￿lY Attept¢d A¢cow7&ng Pradtce IUK GAAP). ffldudirKJ UK
AcCoun1￿g Siandard$.
Under Ihe Cornparues Ad 2Ci*. Ihe GOVerr￿ a￿ requred to prepare fin8nca81 staiements for each financial
ygar. Thgs¢ $lal•m¢nts must not be apwty4ed ￿0$$ the Go*mors are satisfied that they wesent a true and
f•r ￿eW of thè charitatle L*Thparf5 positthj). irK4utsg its ¥Korne, expendAure, and apF4i¢ation of
resource$.
In preparing Ihese finan¢rdl statements. G0w￿r5 M￿1.
. SElect suitable aetounting and a￿Y them eonssienty.
. Follow Ihe methods aThJ prinuples ouifined in the Charffjes s￿teM&M of Re¢¢)mrnended Pr¥b¢4 (SORPI."
. Make reasona￿e and prkthnl judgment5 and e5timztes".
. Confimi ItTat 8p¥tcable UK act￿1￿ $l￿dardS ha¥e been folo*pd. subiect to 8ry material dePa￿reS
disdosed and explained *ithin ts* firwYAal 5wements: and
. Prepare Ihe financial stalements on a gging c￿cern basis. un*s$ (t 1$ i)appropTiate to assume Ihai the charty
Will conlinue In operalion.
Thg Gov8mors ar8 also r8$p￿s￿le fw ma¥)tainw)g adequate a¢¢oyntin9 to awjratety re¢ord
gxplain Ihe tharitable compan¥5 transaci￿n5. These records must."
. Discbse. wilh reasonable &cwary. tts chanifs posw at any gwi bmè.,
. Ensure cornpliance with the Companies Ad 2(￿ and the pro¥i5vJns of chaW'5 govorThr¥J documeTht5,' and
. Facilitate Ihe wepwatien offinan(J* statements that retht a trk* farwi.
Addth"onaly, Ihe Coverrbjrs are responsitde for 5afeguawding Ihe (haW5 assets and takyo rea￿￿aLle steps to
prevent deted tr8ud aF*I oth8r thancial rft8gulafO85. Thts inGW*5 im4emeTrtDw appropriale rntem8r
ntrds and risk management F¥¥xedures to er15urtr stabilrty and rngulalory coM￿lance.
. CHILD PROTECTION
The Schod 15 comrnitted lo mainlainirwj comwEhensv•e evoi¥ifig protection pol￿e3 and
procedtlres that align wtth current legislation, Statutory gU￿al￿8. and be51 practices. The sal?ty, welfare. and
wellbeing of IWLS are of p•amount anp￿r￿. and tho Schoo4 adopts a proacb* approach to
5Jleguarding_
The School's Chld Proleclion and Safeguarding Pc4w is re¥￿ved regutsty to ensure COM￿￿1￿￿ wilh Ihe lales¢
gfftmment guMlelw. indudir#J 'WiNJ Ch￿l￿n Safe in Educabon. IKCSIE) lh• Working Tog9th*r lo
Safeguard Chrfdren frarna¥ork. polries are approved by Ihe Bowd of GrThemor5. who oversee the
effecthveness of safeguzrdry meagJr85 and ensure they are cooststenty aprAied.
Key aspects ofthe Schc4fs commitmtrt kn chibl prots¢bon y￿Ude..
Pag8 7

HULME GRAMIIAR SCHOOL
IAth•ril•hlecDmpany Ilmited by9lMrtntee)
GOVERIIORS. REPORT ICONTINUEDI
FOR THE YEAR ENOED 31 AUGUST 2025
OblKtiv•5 and a¢tt¥its¥s l¢ontiThwd)
. Designated Safeguardin9 Lead5 IDSLsl- A team of trair*d slaff. led by a senb)r rnember ol leadershy. who
oversee all safe9uarding matters and provi(* supportto puimls and staff.
Cornptehen5ive Staff Trainin9- Al 51aff mernber5 recefve regLdw and updated training ￿ safeguarding aTrJ
chikl prole¢b'on. ensurry Ihey identfy ￿SPOr￿1 effrfiNety lo any con¢ems.
. Saf¢r Re¢ruitrn¢nt PAct￿¢$- The scho￿ fdkA¥s $trwYJenl re¢ruitmeni arhl pro¢edur0S to onsuffj thal
31151aH. go¥eiKsrs. and ￿lUnteerS we Surfab￿ lo *ork wlh chlo￿.
Pastoral Support- A robu51 pa51oral care ￿stern place lo support pupils. rnental heath and wellbeing.
en5urirvJ Ihal they have a¢ces51o lryjsled •Ju115 appropriate 5LlPPOrt services.
Collaboration ￿th Exlernal Agenue5
The Schc¢4 works dosely *ith local safeguarolng parlners. SDcial
services, and I￿ enforcement agencies lo ensure a coordinated appfoach to child wolection.
Cleai Reporting Procedute$ Al safeguardin9 tJ)ncerns *r* managed thrtyugh a stil￿lured •nd ¢onfAlenb'al
ieporfin9 pr￿eSs. dear procedures in F4ace for escalat￿n *here necessary.
The Schcqy ￿￿•1￿$ dediuted to ¢rethrffJ a sale $upportiv¢ environment wpils leel setrj￿. valued.
and respecled. 8y f051erirMJ a cullwe of vigilance aid ac£ountabthty. Wme Grarnmar Schoc4 ensures that
5afeguarth"ThJ rerna*ns 3 core in all aspects of school hle.
. STATEIIENT OF DISCLOSURE OF IfrIFORIIATt014 TO AUryTIJRS
The Governors in olke at the lirne of approvin9 these ffinancial slalerner%ts confimi Ihal. lo the best of Iheir
knowledge. Ihere is Tr) rdevant audrt infcrfrnJtlDn ol *fiiGh the auditDr5 are unJware. EaEh Go¥emor ha5 a150
confirrned that Ihey ha¥e tsken all necessary 51eps lo rernain informed ol any relevant audrt matters and to
ensure Ihal such nformatv)n ha5 been lulty ¢Jtsc105ed lo the a￿tOrS. The Goverrnrs recognise their
responskn'lity lo rnaintain liansparency and lull ccOperat￿n with Ihe 3￿jitOrs. in acc£Kdar￿e with Iheii slalulory
dulles under the Cornpan￿5 Act 20C6. They reffia￿ ￿mm￿ert lo uph¢)Iding Ihe ￿l￿eSt $iandard5 of fin•ncial
reporbrts. 9)¥wn3nce. and account*lity. eThiiwy ttwt al approwwtè discb5ures are made lo support
Ihorowh eHeclwe ￿ proces5.
• FuND￿s1NG
Thg ¢hanty had no fuTr*aisvyJ re9wffj dis¢b)swe ¢Jthl¢r S162A ol Chorths Aci 201 I lfvndral$ing
starylardsl.
• AUDITORS
Cl￿e U.K. LLP expressed Ihew *TrI¥¥J￿$ to cOntir￿ in office as audilors.
By order ol Ihe Board
LL
Mr G Wheddon Floo
Chair olGo¥ernors
5 February 2026
Page 8

HULAVE GR￿l￿Aft S¢￿￿￿L
¢lw*4blt ¢offtpwy limlled by 0￿4￿￿12Q)
GOVERNORS. REPORT ICOIfflIIUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
STRATEGIC RepoRT
Acht¢¥offlents perf9rnl￿c•
• PRINCIPAL ACTMTIES ANO REVIEW OF THE OUSIMESS
Stsff Change5
Dop/rlur¢¥
DLYng the year. the Sehod con1lrn￿d to 5tsffng slnKlure5 with the priryitE5 ouoined in the B￿lnesS Plan.
focusing on effKien¢y and sustainability whlo M￿nIaInIng hwjh 5tsThlard5 of teachi￿ and $upport. Sornè
coleagues left Ihe Scknl ihrou9h a combinatw)n of ¥￿￿ntary redundanc4es: [edUnd￿¢*s. professionat
dev¢lopm¢nt opportunibes, as ￿1 th￿9h seeking fokn d$ts¥the￿.
These Ehanges aif•cted a broad rang• Df Ikpadments. ML4ts"￿E 5&ff member5 rngtrin9 w Irom 8reas
ifiduding Mathemai'¢s. Engbsh. S¢*rKe. Modem L*guages. arml Humarwlies. The Sthool al$0 continued it5
view of (xJntra¢tual arr•YJements. an OrwJty￿ project aimed at eThsumg flexiblty and acros$
subjeGt arp¥s, trxampl¢. teac￿ previwsly as subject speual6ts {su¢h as Hisiory or BKlpgy
leachersl are rw appointed under ￿ader deswjnations a5 Teachtr5 of tr￿m#h￿ie5 or TEachers of
Soence.
Staff also moved Lbn from the School artd from a Yariety of support se￿[p$ aGross the lrt many
case5, these tra05ilittns ￿flect w)si¢Ne Career progres5*￿. p8¥50na d¢¥ek￿ent thoKe5. or retiremenl.
Including some throu9h vol￿tary re(kndancy. We aw w)ud to have supfftd th￿r professional journeys £nd
remain dEeply 9raleful lor the ￿ed￿tion and ¢on¢ribulw￿s each duriro their tlme * the St*ool.
They le￿ with our 5ncere thanks and beS¢tw￿ for the fiJtur¥.
NÈW Appointmbnts
This year. the Schoal was ￿￿*¥￿eLl to *￿Ct)me se¥e￿ new fflemws of $lafl, ea¢h brrvjing valuat4& gxp8rtise
and enthusiasm lo the c(¥nrnUn[￿. Notablt ￿p0￿ents indwled new coleagues n English and Mathemzlics,
as well as a new of Departmert for Hrstory. The Mathetiry was also strengthe￿d IhrDu9h the
appointmenis of a marke￿ Manager •J a Junity Markding Olker. The Ptep team has been bolsrered by
Nursery Room Leader and 3 HLTA.
Twe adrfrtM)ns Ihe S¢hooi's ¢apxrty lo detNer ex¢d￿rKe across both ac4<f•m￿ and
operalsTrial areas. Teflectinp our CfJnb"n￿d c¢Thmiim&rt to f#cru￿n9 121Efl*J wofessi￿al5 twho share the
School's v*Ltes and for Ihe fU￿re.
School DevehpÈwit
Strntegle Priorltle$ 202>2024
Ty￿ key 5trattyic priry*85 have bow defff￿d the Schxl DBveJopThent P¢arL Th8se are..
l. Embed a coherent. el8ar. mbust mathetin9 and ￿M¢S1o￿$ $lr•io stabl￿5* and isvease pupl roll
2. Enhance th8 quality ol edu¢atKffi for all pupds auoss the scho
We ate im￿emer￿.ng a ¢ornpieheroi¥t str*ew k+ 3tabtse anLI grtrw our pupfl ir*jud￿ ttyed
marf(etiry to aryTrct n8w sluderrts. enhancing ethJcatwJnal prtygtams to retsin cuJtent pupts. fostering
k4)SrtNe schc4Jl enwonment that erwurages wor&Of-M￿th feferrats. By eThJaging ￿1h the local
commuThty and patents. WÈ are bulding a strony supwrt that prpmotes tyttth ¢nrdrnertt and r•tenI￿rt.
driwng Ihe Sehcd's devdopment and publ¢ benefiifortyard.
To maintain and ele¥ate educat*)nal swdarfs. we appro•¢h ItMt ￿￿￿deS ongomig profess￿￿181
dev*ltspm￿t frjr leather$. teathng methots. and reydw curiDJlum evaluahons. Thr￿gh a ri9ortyJ5
Page 9

HULME GRMIMAR SCHOOL
IA¢lx4thabl¢ ¢ompaery ￿Mited by 94•rnfttrel
GOVERNORS" REPORT ICONTINVEDI
FOR THE YEAR ENDED 31 AUGUST 202S
STRATEGtC REPORT I￿￿tin￿ld)
Achie¥efflents Perforn￿A¢e Iconlinu¢d)
re¥Ew across all deparnnents. we prnle personai5ed 5WPYt for snvjents #nd fvS￿ a ￿lture of acadom
excelknK*.
Teaching S Leiming l A¢•dwni¢
Enhanc4ng aEadernK excdkn¢e by".
. Embedling hIg￿qua1ftY te¥Nng as cotsif*d in Ihe scPthfs EthJ¢4ttyyI Phflosophy across EYFS and all K¢y
Stages.
. Ensur￿9 that 31 teacling me8ts th? indivthal needs of pupls wih SEND yofAès and EAL students.
. MonrtoriNJ and suppothry the *fFletnenlatw of Ihbs by establtshirvj a sysrern of ruwiojum miew pmcesses.
leading to irnproved xadernic alla￿￿en1 acmss all areas.
PastoNI & Pupil Developn￿nI
Forther qnhanthg stud•Trt pqtsorwl d9vg10pm*￿ and by.
. Embeddry a cohesibE 0>curr￿uM progr￿1￿0 acmss 81 phases to I￿p pupils de¥ebJp IheK interests.
bfoaden Ih*r horEens, and support Ihev weNbein9.
. Ensuring the hvJhesl standards of coTrluct. uniform. and bèhavK¢xacross the s¢h¢KA.
Strenglhering Ihe 5chxfs 'through.school' character by bringng sttsdettts together from acms$ the school
cornmuThty Ihrough 1emilywl￿trS¢tMScA assernblies and pew-rnentoring opportLMIt
. Further enhancin9 LhE SC￿￿1.$ PSHE curfbxlum by r￿SoW mty4toiirMJ its iM￿eMentation acros$ all Key
Slages
. Devdoping the House systern.
Mathotingj Admissions & Communications
De¥eloping and irnpl8ments.ng a robusl marketthig aThJ aJmi5SM5 5tr3tegy ty..
. Estsblishing (mrAeMe￿"n9 a appro** to marketiffj and •Jmissv)ns io stabilk%o and grow the
pupil rdl.
Rais￿9 the schoc15 wofite I￿alty 8TrJ natsonally 1hry￿gb engagemMt media opportunitE5. school
publicatW￿$. and enteriThJ natwal Sch¢￿￿ •¥Ards such as the TES amards.
Inhstrnciure arbd Technology
Continuing Io tlevelop. inprave. and ￿h￿IKe Ihe 5dTh4's lacdities and Infraslnx￿r8 ty".
. UFgfathn9 the whde sclwl WiFi lo ena￿¢ fflwe effedi%* ieathing, Jearnirwj. and Comrnunical￿￿n.
Rdurbi5hing dassr¢oms wdh smart Inle￿(￿.5* screens ¥d the l*St technology to enhance
engagement and lat￿lIa1? m¢)d8m appwathe$.
. Integra*ng atharwl lools in subjeds such 35 Computer Sc4en¢e. irKluthJ VR sets. tttding Station5. and
digital r8sourc8S to provide immèr5Ne and handyjn learning expervénces.
. Impfwng c•mmynal sp*$. sbAefrt areas and slaff lauTrtiÈS, to create a mor• and
¢dlabofab¥e en¥r¢Jnment
Publi¢ •x*m rnsults
Results from publ￿ exarninaii¢rns bken in the S￿rner of 2025 0￿8 again d•rnon5trkn the strèngth of
a¢adem* achielement Ihe sehod. with partitsjaty strow valiwdded outctyn•s impr4S5i¥V
iThJividua pErforMa￿e8.
A Ltvel
. pa58 Fate
P8ge10

HULME Gft￿lmAR SCHOOL
IAeharfMble Gompany limited by guar4nt*el
GOVERNORS. REPORT ICONTtNUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
STRATEGIC REPORT IcoDlinu•
Achi•v*ments and perfomwice Iconlln
. 13% olgradeS￿re A"
. 36Y4 of grades Iverv A".
. 60Yo were grades A"_
.84%wereA'_C
. 1 student aclweved 4 A"
I sludent achieved 3 A"S.
. 7 students achievod all A". A tyades
. I￿ Ofgrad￿ were grade 9
. 25¥1 ofgra¢Jes were 8-9
. 50'h E>fgradps wetp 7-9
. 93% ofpupils xhkved a pass (grade 4 or8trfft1
. Two Sbjdents achie%*d 10 Gr*Je gs. and over a Ihird offv thhort seven ormore Grades 7-9.
The 2025 GCSE V*ue Added IVA) 5coie S￿d$ at +0.7. ￿¢￿1￿ that. on ¥VBfa38. pupi15 a￿h￿ed 3kn05t
three.quarters Ot a grad8 higher than experted based on base11￿ data..
ISI Inspe¢iion
In Septernbef 2023. the schod prvudty passed it5 19 (Indepe￿IeNt sch￿*$ Inspectorate) in5petfon. mawking
signfficanl *hieVem￿t for the enti￿ commuruty. This acc•mrAi5hment refiecls hwJh standard$ of•duts￿.tsn.
pasiofal caTr. and o¥eral managemenl. Pa5*ng Ihe inspeciw is not a lestament to the hard work
and de(kat￿n of the slaff and sludenls. but it aLs0 r*nfm5 the school's 51rong reputats.on for excellence. It
enstsfes corstrnued Confiden￿ amorvj parerts aThJ stakeholders, and sets a stror4 frojndation for future gr¢wAh
nd 5Utte$S.
Currlculum development
Since the intr[xJud￿n ol Ihe rw Prep in 2024. Prep Team has umtinued to and
embed its aFWD3th. enlenng the seCr￿d year of imFlefflentation. Enli5h remain5 al ihe heart 01 the
eurriculum. ensurw that lrferxy skills are consi5tenty 5trenglhened frDrn Pr￿p￿p to Year 6. In Ihis second
year. iea¢hers are bjilding ￿ Ihe strong fwrvjaborts estrWisl*d in Y&ar 1. with kNyils $hoMng in¢xeased
confidence and fluew across al are35 or rearThrvJ. The N¥o-year rL41ing cU￿￿￿M conknues to piowde
gpportuniliFs lor pupi15 lo r￿￿￿( ¢w$d￿#te * extend the¥ ￿derS¢￿ing of key ¢onw. fostering
inleliectual curiosity and alosbng kwe of1è3mirg.
The Prep S¢tKx)I has ¢onb"nued lo •xpaThJ its F*yesl S¢htyJ in tho s¢¢ofyJ y¢¥. fijlty embedding it into
Ihg ctwr¢culum ¥4ilh regLlar haW4tY 59sstrkn$ *¥vy othèr week for all pupil$. This wolkesiabii%hed. handsffjn
outdoor learnfng expererKe ptayE an integr￿ role ￿ supwl'ng Ihe de¥thpment of assenthil lrfe skills such
as tearhwork. prcthnkS￿￿n9 res1*￿. whae ¢Jeepenwg sxyts. L¥JnnertiDn lo the ftatu￿ grMrorrfrt2nt.
The schoofs broadÈr educatbtina phflosWy. outSned in Ihe Hulmp Ed￿l￿n81 Phl¢)soth dotyjmènt. plx•s
kn￿￿edge. Creal￿1ty. skfd de¥olopmeni. litetxy. 0>Cu¥￿lar inNdv8fflefit. ar¥1 the I1Th19htl￿ ￿tegratI)n of
te¢hnol¢Jgy - ¥KI￿tIng M - al the heart of Tt5 appwoach. This wsron en5ure5 PUF4s are wel-prepared the
evol￿ng world and ell(x)uray2s them to be adapts￿￿. thoughilul leamers.
At Ihe Serior Sctw)ol I￿. ￿rr￿urn inntyrfal1￿ Ly)nlirn*d wlh 3 redeswJTred GCSE Str￿(Ure Introdu¢ad in
Sftptember. Thi$ incW•d enrKhmeni knfflt to aifow a mtye laihr*d programme of Sludy. extended time for
GCSE English. arKI the adjibcn of GCSE Further M*￿Matts for top-set Students. Year 10 pupils cumF4et8d
the laughl el￿￿en1 of the Higher ProJ"ect Quaification (Hpai. ￿*th malby conlinuityj to pursue tl. effecth.vety
work￿9 loward Ion a half GCSE$. 0lh¢is ￿anced their uMrthAum thr￿9￿ PErsonali5ed support. ofil￿e
Pag¢11

HULME GRAMMAR SCHOOL
IA¢haitable company limit•d by guarnnkn>
GOVERIIORS. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 2026
STRATEGI¢ REPORT Iconllnuedl
CQLYses. ￿rb)a1 experErKes. W'r*J Ihem expkn deyeknp they irtsrE5ts.
Education Ph1105L¥phy
At Wme. ouredu(atKThl Kthilosophy- Ch*rnp lorAI: Swporf. Cl*ge and InS￿-15 rfy)ted in the
belaf that every sbAenl deseNes opp)rknit*s to gr￿. regardk5s of their startstig pJint. We aim to equip
slud¢nts wilh a strong foundation of krwledge. thgsKl¢ Iho ¢r¢atMty. th￿￿ng. and ￿raCter ne*tsd
to Ihiive in a ra51-chan9lr￿. A14ipnn wortd. Trough a CwrKXJl￿ by pas$Ktinate experts. we
Pri￿ltISe deep leaming, inteleclual ￿1￿$￿, and the ability lo appty kn￿￿edge ￿ dNgt58 CQntexts, supported by
a love far readiTrJ. (*scuss￿￿. and a safe Spa￿ tor ac•J&m￿ nsk-tskin9.
academies. we empha*se IhE UTWtaThce of characler and 5k115 such a5 lead&r5hip. re$lien¢&.
cola￿laD"On, and ernpalhy. Our C￿￿￿UM wom¢te$ and ctitKal ttwnking. encowagiry students to
question. anaty5e. and dewdop rrflepeThJent w*¥pr*nls. These are further rninfor¢ed throu9h ext*n$￿•
co-curriCL￿ar activ￿es. dubs. and ¥o￿nteeThvJ. To enswe effedwe and erygiryJ teathry. we emF4oy the
Hulme Teaching TO￿kit. ¥Jhth itrtegT3tes 8￿￿er￿baS￿l melhods and ¢on5iStent Strategies auoss
dassTth)rns. Through this dynarn￿ apyrDath. *m to emptrwer every studenl to ￿nd th8ir passton
artd lulA their
Paslor41 Pthilosophy
At H￿rne. our pasloral phk•sophy locwes on students. weftsry. happine55, and personal grrreAh.
ensuring Ihey can re¥h fvll w)iential. We uphokl core values such as honesty. res￿¢t, hafd work, anil
comrnunily. fosleriny a sense of belonging through de* routines. ¢Dnsi8ient e¥peaa￿n$. and posilt¥e
feinforcement. Staff F4ay a key rde in modelling respeclfvl behav￿u[. contnbutuvJ lo a saf• and IndUS￿e sthool
cultwe supported by a far sy3tem ol rewards army consequences.
Mental heath is central to our apwoach. %•ilh Ser¥￿eS and targeted Support for weas lthe CBT.
anger managernenl. aTrl befEaVEment. Whle demaTrJ Ihese serrices 15 high. we plan to expand prDwi%i47n
Ihrough weUb8irrtJ 4ay5. stress MJrkslb)ps, and train￿9 in menlJ hE*th fwst aid. Our pastoral care,
supported by PSHE. assernbi*s, and kn￿1b￿.n9 inibabve5. 15 both preventsbwe responswe. ziming to rneet
$lyd¢nts' evdwg need
Our PSHE wrrIGd￿ goes Wd statutory feqtjiremenls. LY¥ering key lrfe skll$ and adaptiNJ to new
¢hallenges. O¥er*l. we slrfft to utate a supporiNe, fftdusi¥e en￿￿nment vthere Students fitsunsh bath
persorn3Ny and academKaly.
O-Cyfficul*r Development
Now in Tts Second year. Hulme's c4K￿ry￿Ular prc8ramme to thnw. offerirnj a tsro￿. ba￿ced. and
Jlly I￿lusI%* range of xlThil*s for students. The DNersty aTrJ Indusion syoups ha¥e fltyjris￿d. white
inclusNe $p¢rts opputunth.es suth a5 pzrfxpaty in IraditK?rtatly f4rn￿• sports and th• rwtinuBd growth of
girts. fool￿1 demonstrate tho SclKd's commkn￿Tht to equalty.
Buildwyj On Ihe firsi p•r's SLK¢ess. Inilialwes like TrtLdm¢> T*ks" rontinue to bro*n sluden15' horYLon5,
expknnng drferent Cut￿re5. C8reeT5. and lrfe expelw￿. New kadership aTrl servre roles. I￿1&*JIng Schual
Sports Captains and Prep Class Prefects. lurther foster collaboration. ￿SpoNs￿l￿ty. and CDmmu#ty &r05S the
School. These dev410￿6nts L¥*Jer5c•re Hulm¢'s dEd￿￿Ort to Pfeparing S￿dents for the luture by nurturing
knO￿edge. ueab¥*. uikal Ihinkwig. arnl ¢haradw Ilwh a enwiryJ ¢OTrcwrrJlar exp**nc•.
Page12

HULIIE GR￿MAR SCHOOL
IAehariiable company limlted ty
GOVERNORS. REPORT ICONTINUED)
FOR THE YEAR EIIDED 31 AUGUST 2025
STRATEGIC REPORT
A¢hleYements and perfomian¢• leont•i¥¢d)
• INVESTMEMT POWERS APID PoL￿y
FollowirNJ a carefvl r8VitrAf, thè Go¥err￿￿ decwjed to move the SLkn4'5 investment irto a cash a¢￿unt. Thi¥
decision wa5 made la wrlect the Sthoofs caprw ￿ a period ol rnarket volalth.ty and to maintJ"n liquidity.
ensum3 funds are ￿adty availabte ID Swrt the SL*oofs operationa and styat8gr pr*Jirbe
rnanagement of ts Sc￿01.5 kwestrnents overseen by Ihe F&C Commthe. ￿th gLDdance from Ihe
Invostsnent Advser. Th* C¢)Y*mors temain resp)nsible fc* al investment deCiS￿n5. ahgnng the School's
inbEsirn•d pdw. whth Wkxitises ir*AMne oF*mis*on *t4e mwntsnn9 Pr￿nt levets.
. ACHJEVEAIENTS AIID PERFORAIANCE
DurirvJ Ihe 2024r25 acadernic year. Hulme made substant￿41 improvements to its faclth.es and infrnstructwe.
enha￿n9 both the learning enwrrnment ar￿ the o¥eral 51udent experierKe. Key ath8¥empnls indud8d".
Vpgiading thè 5rhwk%%vJe WyFi Io SLPPOrt stram￿$ tsachry. leaming. and communtsti¢n a¢ro$s the
campus.
. Éxpanding the CCTV system lo strenglhen safeguar(fing and s8L¥rity ft¥ all mernbers of the sthool community.
. COMp￿ting a rnajor ￿ru￿lshrne￿t of the Prep ￿1￿jing 8 f511 ie*ire and lr¢5taifaih￿ of8 fir? alarm
5yStem.
. Refurbishing Ihe Mv5K Room to ueate a modwn. ir¥irir¥J spac* fof creative I￿rIng.
. ijpgrading essential faelibe5 such as tolels * external Ib>)thuhliTrJ.
. Refurbishing pla>Pr￿rtd area$ to wovKlÈ safe and engaginy 1xrtd¢￿[ sparns.
. Installing new W1ndry￿ in thE m*n lo romfort. ewgy effitsÈw. and tne avern
reaming environment.
These ¢OhA￿eMe￿$ ieJe¢t Wrne's ort9otyvJ wmmitmMt to ptowdxvj • sale. inMvalNÈ. ané insoiing
en¥iTonment tnat supports both acathmiE excelerKe and the *l.being of atl st￿￿ents.
These devetopmen15 were o¥er5Een by Go¥effws and Senior Leadership Team. in cottaborab.vn with lh•
Estates Mana9er and Oireclor of FM)ance and Operations. ensuring straie9ic progro$$ and operational over5ighl.
At#dÈmieAJy. Ihe sthool ¢onb"Th￿￿ tr) ach￿ strortg resdls. parbcdarfy at GCSE levd. 4vhile maintaining staUe
bursary and sckdar51¥p 5UPWrt dpspite a slvjh; ¢*line in strmlent rnjmbets. was effecbvdy manage
. INVESTMENT PERFORAfANCÉ
As al 30108f2024 the ￿lue of the schoof$ p￿11￿ Ivas £1.768.663. Ihe continuing expectstion Ihal th6
school would rwd to make subslantial wlhdrnva￿ to cover ￿anfied exPend￿re. £1.750.000 was iftvesttd In
the JP Mofgan L￿u￿￿'ty Fund, a wefe¢red by￿sk rnoney rnarket fuThd. and £16.633 was held on deposit.
Th8 JP Mwgan Lvwvjity Fund is deS￿ned across a range of sterfin*denotnirwted monw makwt
inslrumenls and dep05it5. ap￿1$￿￿OI￿￿ and rompethve ￿l￿n5.
On 0110812025 £3QO.CW was ￿t￿p￿ra*n from Ihe portftslio to ¢th*r we of Ihe schocl'$ expenditLre. As a
rtSLdl. Vdlue of th? pJrtrdK• Ort 31W2025 wa5 £1.549.559, with £1.542.962 vw#l¢d in the JP K*Jrgan
Lquidty Fund a￿1 £6.597 held on depos
Ouring Ihe period 31AW2024 ta 31108f2025 the wruolig has rnad8 a bme wehjhtsd relwn 014.25% as th&
JP Morgan Lv4uidty Fund conlinues to imthmefit a lo* risk invesbmerd strategyon behalf of tPbe sthod.
Page 13

HULME GRAMMAR SCHOOL
iAchaiilalthi company limlted by guarnntrt)
GOVERNO￿ REPORT ICONnNUEDI
FOR THE YEAR ENDED 31 AUGUST 2025
STPATE(YC REPORT Icontinuedl
Achlevements and PerfOnT￿ l¢ontinuedl
• FINANC￿ PERFOR¥ANCE TRENDS AKI RESERVES
The School had a tsfirJt of £409.450 after net b)sses on invesknanl$ ol £89.522 12024.. deficrt of £1.521.16r
after net gains OA inslmenls OF £270.3951. The nel i￿ome from tuIts"￿ fees amoLmled to E8,485.514 12024..
£8,686.9581 whth was an fftcrease 01 £201,444 Q024: £404.4911 compared to the pro¥KJus year. T1￿$ in¢r8asè
is primarity due io the onTh•l fee adJ"uslment a dedine in pupls nurnbers. In¢ome from Grants and
DdnatiL)ns was £693.899. an i￿reaSe from lastyears É204.698.
The ttstal resoJrce$ utilised afflo￿ted to EI0.9J7.861, 0)mpared ¥Ath £11.501.719 in the prewous year. The
r•d¥ction fft exp¢ndiiure prtimarily r¢fle(ts strerrythen¢# budgetary ¢4)ntrol$ and stsffiffj ¢ost sa￿Ag$ arisiNJ trom
redund8rt¢y measures. While thr& repre5enis a significant improvement on the prior ￿ar. cost pressures are
oxFecied lo continw. and further eff￿ency wwk is pknned o¥er Ihe nexl Ihree years. As a result. the Sthod
reported an operab'ng dar￿ of E319.928 lor the compared a 5ubstanliJfy h*3￿￿ d•fKrt 01 £1.791.562
in the preceding ye*.
The Balance Sheet relects addit•?ns (d U70.679 (2024.. E494.133) to Fix*J Assets. These costs primarty
linked lo the premou￿Y rnentioned proj￿15. Not8Ny. a s$Jb￿ti￿ portim of the expeTrJituro was dir8c18d
IoY48rds the fefwtsshment of the Pccl.
The debtor6' balance saw a sL¥hl upb"ck. by t282.791 to EB06,771 Qtr24". iKre•$ing by £15.229 to
£323.$801. and creditors decrgasgd by £620.570 to £1.938.731 12024-. de¢rea5eL* ty £404.484 10 £2.559.301} .
This is pnmarty a￿1b￿led to the fact thal a substsntial poriKJn of the pruiecl work occurs during the school's
S￿￿me( h￿IdaYS. and supkther invo￿$ typtJtyarri¥e in Auwst
long temi demont L)F Ihe prth%sin lof the fvttxe payments of the dekrt recovery lÈty on the support stsfF
defined benefit peiBh* 5theme d¥r¢ased to e114.772 12024.. £179.627) as a re$￿t ol a re¥auation IA
Seplernber 2022. Thi5 15 detarted lurther in Note 21. Tr School had a nel Cash OLlffDW from operating 3cbvitye5
of £1.348.358 12024.. EI,119.5681 and Ihwe was an inlkn¥ from n¥e$ting acti￿ties of £603.509 12024..
11.817.n41. The lotal net cash outfttrwwas £744.84912024'. ihe lola net rash inflow was £453,457).
The Govemor5 aim 15 to have free reser¥es of a mirrirnum of 10 *wk's expendthjre. approxirnatety £l.S miHb]n,
availabla to cover the worst case scenario. At Ihe Balance Sheet date free re5er¥es amounted to £25,TT1 12024:
IrwatNe £4192151. 11 is the Go¥¢rnry5' to seek to mob* to genwaDng a surplu5 on tho SGhwl's
so Ihat Ihey can cre* Ihe resen￿$ althe slated kvel.
* RISK MANAGEMENT
The Board of Governors h￿dS Ldfrmate responsiblty lor overs￿n9 the risks laced by the 5¢hool. D*.¢trd*y
DP8ralonal risk m3•agemert ts dewted to the FwAnce & Commerty4 Commillee and the Heallh. Sa18ty &
Environrn8Tht Commrttee. Rot￿%1 woc*dures we thntfy. ev*uat•. manag8 risk acmss the
Dl9anisath?n.
Key ￿ntrol mec*anisms in(*•*..
. Form81 agend85 for all Board and Comfflrttee meelK45
. Awelkdefined committee governance stnxiure
. Clear orgathsaiional h&er7Athy and ￿Port￿￿ Lw*s
. £¥plicffjy ouuined ddegated authorrl
. Comprehensi¥e ￿a￿al controls, inch¥Jry bolh lry and 5￿rt4Brrn foreca5tir¥J rnonthty managernenl
Page 14

HUUIE GKIIIMAR SCHOOL
IA dwrftatsle ¢offlpany guarnnts•l
GOVERIIORY REPORT IC014TINUEDI
FOR THE YEAR E14DED 31 AUGUST 2026
STRATEGIC REPORT Icontlnued}
Achievernents and perfonnan£e Icontinwdl
re￿rtEr￿j
. Statutaryvelry arKI recruthient procedures lo safeguard chiklren
. RegtAar ieview of strWi¢ risks and Ihe elfe¢b¥eness ol assotsated contrd measures
. Medwnblerm Iralegic pJaMin9 lo ant*?paleand ryepare fw futwe thaU*iges
Thp Board ha5 c¢ndu¢ied a delw"IEd assE55ment of the Schod'5 princi)al 5tr*gie risks and eslablished
struclured risk ￿alysIS frarngknxk. This tr￿e4￿TYk 15 reviv* re9ulaty as a stanth.ng item in Board rneebn95.
The current ecornmic dvmale. issues rd3ted to the of IN¥W. ￿￿nU&S to affed pupil eTrrolrnent.
and fernains c&Jse obsewat•JrL
The Govemots have idenifftd thp lolmng a5 the most svJnK¢arf r￿kS uJrrenty kn'ng Ihe S¢hool..
. Pup'l numbers
. Regulalory ￿rnF4ra
For e&h of these areas. the potentwl risks h8* been anaysèJ. th￿"r p)ssble irnpacls assessed. and Ihe
existing corArots docfftented. Where r￿￿sary. athlknal aclw the t*en proposed to further mibg*e tr￿$9
risk5 an& strenfvn Ihe School's rèslience.
Regulatory eornpliane•
The School has an eslablLshed a prDtrth for Ihe Senh)r Lea¢Jer5hip Team and the Board tD oversee 3nd
endcise regulatory prerequisites The law5 ar¥J regLrt3ti￿5 we ¢ons*J2red in this context for the UK operat*Jn5
wÈre The Educalitir7 (Ir*peftd¢nt ScPwl Slandwtsl R￿￿31￿￿7$ 2014. Gentrr￿ Data Prottdion RÈgulation
IGDPRI. Healh and safety legi￿•1￿. TaXa￿)ft *islatton Efflpkjytnent legisla￿rt.
• PLANS FOR FUTURE PERIODS
The Goverm15 have i1entir￿d fi¥e pbwjial componen15 Iha Schoofs strategic pLan Ihafwl shape ts fuknfr
de¥elopmenl. e￿MpaSs..
1. Marketing & AthINsslons
conth.nue to I￿st the sthots r¢putap)n knattfa¢l arwj reta¥1 a dr4erse ta*nted $￿ent body.
2. Publie Benefft & De¥elopm•nt
Enhance Ihe xhod's role imp8¢* wthn Ihe widw commwity throu9h outreach servre iF%liab￿. 5s*ile
le¥eraging alumni loc4. na110￿. and glob￿ Q￿ne(￿on5 to ¥wea5e fvJntha'$iAy. improve put4
tenèfil èffort5. and enrth Ihe exP￿￿￿e of 51ud*)t5, 51aff. ar￿ parents.
3. Pastwa & Pupd w￿b￿1￿Y
CrEate a supportprt and tilVY(*thiient Ihal promol¢s th8 mw)t31. 8fflotvnat, physKal w¢lkling
al sludents.
Qualty of Edy¢atlon
Ennance Ihe quaty gfieathing and t￿1rry io Thkyovè sttKl*t outceffts xross al subpc
5. PaTrnts. Carets & Supporters
En5urB thal parert5 r¥rws ￿ Supp￿18￿. rnrnMun￿*t8￿ Twth rewty aTxI elfeciNely. arKI thai the
cdtacb"%e inlhJerK8 is harnessed throuyh the creationaThJ inpltsmertstson of a new Parent Assoaation gTQUP.
These elements ￿￿e¢by* defino our sIrateg￿ paih lty*￿ 0 51K(¢$5(ul and progres¥r¥e future.
Page 15

MULME GRAMIAAR SCHOOL
IAdwthble company lirnknd by 9uaAnt••) .
GOVERNORS, REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 AUGUST 202S
STPATE¢>C REFQRT Icontinwdl
A¢hleveff•rts and p¢rfomun£È Icontthiwdl
• FINANCIAL RISI( IAANAGEIIENT
The Gowernor5 have ccTrj￿led a Ih¢)rough •s$¢55menl of Ihe key iisk$ la¢irvJ Ihe Sthod. w4h ￿￿[CUla1
amenlion lo those affecting opeiational eflectvier*ss and fina￿al 5usiaThbthty. This revw consider5 a wide
range ol inlewnal and extern￿ lactor5. ndudin9 ItLKlualion5 in pupil enroknenl. ¢han985 lo governmenl ILffiding
or policy. ifjftalionary pr8ssur*s. and Ihe increasing costs d slaffwyj and laciit*s mana9om*nt.
The Govwnor5 are confthnl Ihal 51Ton9 governance slructures. ri9ofDU$ lnIer￿1 conlrc4s. and effecti￿ risk
management procedures a￿ in ￿ace to identify, rnonilor. and rnrti93le polenlial risk5. T￿0￿9￿ regular rev
cydes aTrJ robu51 reporliTrJ methanism5. pm*[g￿9 dwl•r*J95 arg addT*$$•d prornplly. 8n5uriny lh• Schoc4
remain5 a91￿. re5ihent. and wel￿rePared to 5aleward rfs lOr#J-1e￿ slabthty conlirned sucress.
Approved ty order ofthe memteis ot Ihè Ix>ard vf Go¥emors and on Iheir behawby..
¢tsLL
Mr G Wheeldon Fk*D
Chair ofG•¥em￿s
Dale. 5 February 2026
Page 16

HULAIE GRAMhTAR SCHOOL
{A ¢haiilablt ¢ompany Imltrd by guaTrntr*)
INDEPENDEwf AUDITOR'S REPORT TO THE MEMBERS OF HULME GRAMMAR SC1400L
Opinion
We ha¥e audited ble finar￿￿ ststemerns of Hulme Grnmmar Sctsjd tthe 'tharrtat4e cpmpanll for Ihe year
ended 31 August 2025 which Gornpri5e ￿ Sialement ol ffina￿al a¢￿￿￿$. Ihe ￿ance sheet, the Statement of
cash flows antl the related notes. indudirwj a summary of siwfftanl ¥£our*ng pelioes. The financial repthting
frarn￿Ork that has bepn apK4iEd in their pt8para￿Tr $6 3rWicable law and United Kwvjdorn Ar￿UntIng
Slandar¢s. Financial Reportir¥J Stsndaid 102 The Finanoal RePth￿ Standard ap￿1¢a￿e in th¢ UK
and Re￿bI￿ of Irdantt Iunrfed KJng¢Jcxm Generalty Accepted Accounl*ig Praclicel.
In Dur opinion Ihe fir￿￿la1 statefflents".
give a true and f*r vw of Ihe slate ol th¢ tharitable cornpanys aflair5 a5 al 31 August 2025 and of ts
incorning r950urc85 and aP￿￿at￿ of resowce5. irr￿1r9 ts irKom¢ ar*J expenditure for the ￿r Ihen
ended..
ha￿ been wJ¥erty prep¥ed in •Et¢xdarK• wilh Uftrfed lfjngdom Genèraty Accepled A￿unting
PrXli￿". and
have been prewed in ac¢udancewith the reqwements ofthè Companies Act 20)S.
Basi$ for oplnion
We conducted ow ￿drt in 8ccoré?nce Interrwliond Standar05 on Auditing (UK) IISAS IUK)) aTrJ applicable
law. Our responS￿￿leS under those stan¢aTds are further de5crthd in Ihe Audrtorfs responsibilits.es for the audit
of Ihe finanoal 51*pmgnt5 5gdion of our rgw>tL We are independ￿1 of the ¢haritable compary in 3cGordance
with Ihe ethical requ¥ements Ihat are refe¥ant to our audrt of the finzmal 51atèrnents in the Unrted ￿.￿gdom.
irKludiro the Financi￿ Repor*'ng Councifs Etht¢al siandard. and w" have hdflled our other ethical
responsibjibes in xcord8nce wilh Ihese reqL1rernen￿ We bej1￿￿ Ihal Ihe wdil evidence we have obtwned i5
suffitient and approprwte ￿ provKle a ba*s fw our
Conclusion5 relatin9 to 901119
In audil'ng f￿an(la1 51ateTDents. w¢ have wThJu¢J8d Ihat thE Govemors. use of the go¥w concern basis of
accounting in the preparabon of Ihe fInarK1￿ slalements Is approw￿le.
8a5ed on the work ￿ have perfonned. we have not identtfied any rn8terial uncertainties relaling io events or
condition5 that. indiMduHly or cdlertivdy. may ca51 5wJnikanl doubt on cha￿table ¢ornpanl5 abilfy lo
conbnue as a yo1n9 concem foi a pemd of at Jeast nWDths fmm whèn th8 statements are
authorised f¢*r kssue.
Our responsibflits.es and the re5ponsikn.b1￿S of Ihe GONyn￿ *ilh respect Io gjng concern are ¢Jesuib8d IN
IEIEvant s9¢tM￿S of Ihi$ WDrL
Page17

Hul￿ GRAIAklAR SCHOOL
IA¢knarftable ¢ompany Ilmlted by guar4th1
INDEPENDENT AUDITOn R£PORfTO TrIE MEAI8ERS OF Huwe GRAI*IAR SCHOOL
ICONTINUEOI
Oth•r Infomwlion
The othèr 1nfcrna1*￿ thè infcrfrnat￿ ir*4uded in Artrtual rowt ¢th•r than th¢ financ￿ $tal•m¢nts
and our Auth"loffs report thereorL The Go￿OrS arè rèsponst4e for the other Inforrnat*]n contair*d wilfv'n Ihe
Annu￿ report. opIn￿n on firwThl stat•menls t*)es not ether thè othgr inlormabon and. except to the
extent olherwtse explrrtty sl*ed in our report. we th) not eXp￿sS any fom of asswanc8 condusion Ih8reon. Our
reSpOn￿￿￿ty 15 lo rezd the Dt￿ rfwnation and. in oorrvj so, W￿￿J￿r vAEttwr otl*r inlormabon 1$
rnalerially inuJns&8tent with Ihe finamal stslernenls or wr kT*x4ed9e otrtained in the course of the audit. or
othernvtse appears to be mater• misstaled W we su¢h material I￿$n¥14￿nti￿$ or apparont material
misslatements. we are required lo determin wtheiher thts gr￿$ rise to a material misslalernent in the financial
statements themSe￿e$. If. based on the wort we have perfomed, we coK*ud8 that ther8 15 a m8lerial
m￿stateMentOr lh￿ other infofflwtiun. ￿ •e reqw*l to rewt Ihat Ixt.
We have Tr)Ilwng1o repcrt ￿ thi5 r*wd
Opiniun On oth¢r prp¥cr*ed bythe Conynles Act 2006
In 0￿r r•InK￿. based on the work Lth)*rtaken in kne of** aJdt
the Inlormaiion gwen in the Govo_m¢ys' Re￿rt mduthng the Str812gtc Report for the finanual year for
which Ihe fThnc¢al slatement5 are pwared ¢f•n5iStenl with ihe fnanc4al $18lemenls.
the Go¥ernors' Report and the StralegK Report 17ave been prBpared tn accordarKe with apFli¢aOkn 10901
requtrBm8nts.
Matters on which we •r• r•quir•d Qo by w•ption
In the Iwjhl of our kThM4edge and W¢j￿5￿nd￿r9 of Ihe o)mpw and ts emronmeni obtained in Ihe
course of the autht. we have Trjl *Jenbfied ¢natefd mi55t*ements in th8 Govern￿8. R8PTht indudiThg Ihe
Strategic RepDrt.
Vve have Th)Ihing to report w¥ resp8cl ol th8 folo*iVJ ma¢iets ￿ rdattyjn to whith Compan￿$ AGI 20(A re4uires
us io report to y¢u if. in wr opirdon:
ad9qualg accoun1¥￿ r8cw15 hav¢ rnl bo¢n kept or relums adequate for our audit have not I￿n
receivod frDm lTrn¢hps nol wstted ty us.. or
th• f￿an081 51*emenls are not kn agreemert*ilh the xcounb.ng ￿CordS and relLrnS'. ar
f£rtain disdosures ofGoverTh)rs' ￿Mune{abO￿ specffied by I￿ are not made,. or
e Nive not Tecaved all Ihe information aTrJ •xpIanatsL￿We requ¥8 for our aud
Page 18

HULIAE GIIWAAIAR SCHOQL
IA¢harilable lirnited ty I￿ntee)
INDEPEND￿ AUDffoifs REPORT TO Tk* MEIIBERS OF HULME GIIAIAMAR SCHOOL
IcoNnNUEDI
R¢spMslbilittes ¢lgov•mors
As explaingd rngrE W Jn lh• GOver￿r$. re5ponsibiW'8s 5ts1enrt GDbwnor51*tho ale *0 the director5 of
¢he char*aNe company for purwses of tompay lawl are respon5JNe lor the weparation of the financial
Stat￿ne￿I$ and lor beit¥J $th"S￿ thal they 8nd fair wew. aThJ for such jntern￿ ￿ntr¢I as the
Governors deierrrNne is necÈss*y kn enabk tht prep¥a*on of fmncial ststements that * fra0 from mat8ro1
m￿stat0Ment. whether to f[8￿1 or errDr.
In preparing Ihe f￿ancIal Sr3teff￿nts. thb Governor5 are reswsible lor ass2S5ing Ihe charpiable companvs
abilty to contsnuo as a going concern. di5d051ng. as apphcable. m311ers rElaled lo going conrem and using tho
going c4ncern bass of ac£JJwting unless kne Govemors eiher to tiquKlat• the chaftlabl• company or lo
¢ease operatKins. reali8ti¢ *rnative l)ut to thi $0.
rewnsibrfbli*s forth• •udlt of th• finan¢•al ¥tst•nwnts
Our obpdi¥es ats t¢ obtwn wasmabk •SSLtsnce abr￿rt whetlw Ihp knarKial $141omo)ts a$ o who1¢ a￿ fr¢¢
from mater1￿ ryMS51aternent. whetrer ¢lue to trawl or error. and lo issue an Audilofs report Ihal IndL*Je5 OW
opirriDn. ReasonaNe as5Lnr￿? Is 8 b¥h level of assur8r￿. but is not a guaranlee that an audit conducted in
acrordance Mih ISA5 ILIKI thays eeted a matwial mts5tatement when it ￿iSt5. Mis5tatBment5 can arise
frorn fraud or e￿or and are c¢xsDlered matwial if. indMdu*y 01 in the ag9regale. Ihey co(dd feasooAbly be
expÈcted to influence the eCOncffl￿ decIs￿nS of users taken on the ba￿5 01 Ihese ffinan￿aI statements.
Oetsils of the e¥tenl to wbith lh8 8udrt Wa5 CO￿l¢J¢red rapable of d*ting Irr•9￿￿t￿, in¢ludiny fraud and
nondt¥Jrnplia￿e with and regrnda1K￿ are set out belrr*.
A lurther Je5¢riPIK)h of our resrKwtsiblit¢s for ￿ aud(l of the $taternenis is lo¢ai¢d on th¢ Fin*¢
Repo￿Tr9 Cou￿11'S website al" wvhv.frc0ry.uwa￿s1tQ￿eSpoThSib1ltle5. Thk4 d•5CriPtv)n forms part of our
auditorfs rewi
Exl¢ntto whkh the auditwas con5idernd capabk ofdet¢cting iryegularitses, includinq fraud
Irregu13rities. induding fraud. a￿ of noti<ompliano wth kn and ￿¥￿al￿$. We design procedures
in line with our resp0nsitilrf￿$. oudined at4)ve. to delect material misstalements Wl T•sped of irrÈgularitièS,
induding fraud. The extenf to whirkn w pro¢fj*rn ¥r• capatlÈ of dete¢bng K￿danI¢s. incluory ff•Jd ss
tailed belrv*'.
We obtained an un¢Jersiandir¥J of Ihe le9al re￿latOry tr￿￿￿0rk5 wI￿n whth thantabk ¢ornpaDy
¢Jperates. foryjsing on those laws ¥rKI regulab'on5 that have a (threct •fFtcl Oti the detefrnirtati￿ ¢*f material
amwnts and di5cknsures in the finanoal statements The laws and regdai•Jrbs we eonsidered in this context were
Ihtr Cornpanies Ad 20(￿. taxavtsn Iw¥￿alI0n. iogether ￿ the Charii*s SORP IFRS 1021. We assessed Ihe
f¢quired Complian￿ with these knvs and regLAations os part of our alth ptucedut95 on tho rdated finanGi4
31atemefit item*
In addition, C(￿ld￿e￿ pro¥i%H)ns of other laws and rewlaims Ihal do have a diied effeLI on the finanual
statements bul compj1a￿e wth wlmth MWI be fvndamenial to the ch*able o)mpan*s a￿lty to operate or I
avtsd a materta penalty. We also conside￿d the opportwth5 and in¢entives that may exist wthin Ihe challiable
compary fraud. The laws aTrJ re9￿al0)n$ we wi tli5 context for the UK apèratons were The
Ed￿ts.0￿ unde￿dent SL*ool Sland*ds} R¢9￿atrOn$ 2014. Ernpbyth legislat￿1 aTrS HeaNh and Safety
legi￿atiOn.
Aurf#ing stsndarth fimrt the ￿qUired tr) *Jertfy nor￿¢￿￿1.8rrn WI￿ these laws and re9￿all0￿$
lo ￿quiry of Ihe Go¥wTr)rs and other manag•rnenl al￿ in$pection of We9￿4b)ry and legal thrre5pondence. rfany.
Page 19

HULME GRAMIIAR SCHOOL
IA ¢ompany limFted by guaAffit•tl
INDEPENDeNT AUDrroRS REPORT TO THE MEMBERS OF HULME GRAMMAR SCHOOL
NmNUED>
We identifvd Ihe greatest risk ol malerèl •mpad on the finantial statemerts frarn irregL4arities, induding ffaud. to
be ￿t￿ffl other income recogritsed in the year for existence. completeness of donal￿ incoffe and override of
controls by manayÈmÈrt Our audit procedures to respurul to the58 n$k5 induded sample tesb.ng the other
income streams 10 supwting evKl¢nc* fvough tts bank. enquiries of management and Ihe Audit Committéè
about their own idenbfKalKJn and asses￿OnI ol the risks ol irrWA0r￿"e￿. lestiAg on Ihe posting ol journal$ that
meet eLtr risk criteria, re¥%wiThJ accounting estimale5 IDr kn'a5es. re¥￿ rewlalory Correspor￿ence wrth the
Chanty Comrniss5tsn and Independènt SclM)ols In5pectOfal¢ and r¢adillg mi￿leS of rneetings of Ihose charged
wilh gxémancè.
t￿1￿1 to the inherent limitations of an audit. thero is 2n Ur￿lo￿lab￿ rsk trat we may not have detected som?
m3teri81 Miss￿ernents in the frnanei21 slaternents. even thouyh we havo property pL7nned and ￿rfOrmed our
aLklit in acD)rdafjce auditing 5tand•ds. For exawe. the further rerrthed Tron-cuDplYance with laws and
regulaih)ns lirrogularitiesl ks from Ihe events and lffansa¢tons reflecied in the finan¢Aal statements. the le$$ likely
the inherenly Imilpd proced4wes req¥￿ed by 3¢JthtWlg Standwds would identify ￿ In additk?n, as with any audit.
Ihere rÈmamed 8 Iligher risk of non-detecbon of IrregulJibes, as Ihes? May in¥oP4e collu5Kn. lorgery. mleni￿ana1
Orni5sion5. M￿lepreSenta1￿)n$. or Ihe 4MrTh3e of ￿ternal ¢wtrd5. We WE fK)t responsi￿8 for prOven￿n9
noncom￿rance and rannth be expected w aeteet rhyKomrAyarte with a LThvs and rE9￿ationS.
A fvrthef d2sel￿410Tr of ow responsknkn the ol the ffinatK*I slatemerts 15 hic*èd on the
Finsncaal Reporting Cow￿1,5 website at ¥Y*rn.fr
.uklaLNJilorsres
onsiblilk8s. Th$ de5Gription forrns
pari of our Authlo¢5 repofL
V$¢ ot our report
TFy5 report 15 made to tharita￿e tornpwrfs memiws. as a bDdy. in a¢¢¢rdance wth Chapter 3 of P*1
16 of the CompaAes Act 20￿ Our audrt work been undertaken so that we mwt slal8 lo the Charitable
comp#nl5 mèmber5 Ihose matters we are required to 51ate to them in an Auditorf5 report and for no Olher
purpose. To the f￿￿$1 ¢Xl￿)l pemirttÈd by I￿. we do not accept or assume responsbi Ilty to anyone other than
Ihe charitable company and its rnembgr5. as a tothsf. lor OL¥ aud* work. for Ihis weport. w f¢r th• Opinio￿ V+
have forrned.
Cm(Le LU.
Cttywp U.K LLP
Statutory
3rd lo¢¥
St George5 House.
% P9tw St. Manthe8¢er
23Na
Dale.. 12 Few 2W
Pa9e 20

HULIIE GIIAIIIMAR SCHOOL
IAcb41ilablo G¢MllPW lirnitod by guaTrnlw•l
STATEMeMT OF FINANCIAL ACTMTIES (INCORPORATING INCOME EXPENOITURE ACCOUNTI
FOR THE YEAR ENDED 31 AUGUST 2025
Totsl
funds
202S
rtds
2025
nd5
funds
2024
2025
2025
No
Income and
•ndowrn•fits fronK
School fees
Anallary trading
Grants and donation$
In¥estmenl incom•
Other acb¥ibes
8.41S.514
601562
520.241
20.670
707,697
8A85.$14
602.S62
693.899
98.261
707,697
8,686,958
596.459
Z04.698
86.320
135.722
17J.658
Tl,591
income and
endowments
10,338￿84
251249
10.587.913
9, TIO. 157
Expenditure on:
Chantsble actNitie$
10,010.698
lQ4.547
61616
10.907.861
I1.￿1.719
Totsl •xpenthtiw•
1D.IMO.698
80£547
62.616
10.907.861
11.591,719
14et
Incomellexp•nditurel
before net
Ilo5s?sllgains on
InvestThnts
Net Ilossesygains on
invfslmentS
29S,986
1553.2911
162.5161
1319,9281 {7.791,56
189,5221
189.5221
7.395
N*t rno¥*meDt In
fvnds
295.986
164U201
162.6161
1409.4501
(1.521. 1fj71
Rpconcliation of
funds..
Totaf fund5 browt
f(Thard
Nel movement in futhls
4205.691
295.986
1.065A37
16418201
1137.944
162.6161
7.409.072
8.930,239
1409.4501 {1.521.167)
Totsl funds Garr￿d
forw•rd
4.501.671
421617
1075J28
8.999,6Z2
7.409.072
The Statement of FlnarKialActiV￿.es Inr*Jde5 an gzin5 and losses recogni98d
The Tv)le$ on pages 25 10 47 frrn part ofltwe fiAwtyal sialwner
Page 21

IIULIAE GRAWIAR SCHOOL
¢harttable eompany lirnlted by 9uaf4Al••l
REGISTERED NUIABER: 06125927
BALAKE SHEET
AS AT 31 AUGUST 2025
2025
2Q24
Fix•d •ss¢ts
Tangibfe assets
In¥e51rnents
6.356.643
1.549.559
6.568,26Z
1.848.886
10
7,9D6,2Q2
8.41T. 148
Cwwnt a$s¢ts
Deblors
Cash at bank and n hand
606.7TI
425.38Q
323.980
f.Z7T.745
1.03L151
1551.225
Credilu5.' amounls lal*)4 due *ihin one
y•ar
12
11.•85.94n
(2.431.728J
Net curr•nt li•bilili¢s
1854,7961
(880.503)
Toial •ssets less curr•nt &"•b￿l￿•S
7.051.Mfj
7.536.645
Cieditors.. ￿0￿nIS falir¥J aftei more
Ihan one yeai
13
151.7141
f127.573J
Met assets •xcluthn9 p•n5ityn ￿*1
6.999.622
7409.072
Total npl assets
6.999,622
7.409.072
Charity furnts
Endry4*Tnent knds
ReslrKled fuTrJs
Unre5trK*ed h#wJ$
15
15
15
2.075,321
422.617
4.$01,677
2. 137.944
1.061437
4.205.691
Totsl fund5
6.999.622
T.409.072
The Govemtys a¢kr￿￿* Ihew respoD5•iihes lor with thp reqvw•m•rts ol the Aet wrth respe£t to
a¢¢ounlffl9 recordsand PrepaR￿.￿ ol statements.
The finzrKd slalements approbed and aulhNtsed for i55ue ty the G0￿MOr$ on
anrl syaned on their behalf by.
5 February 2026
'JLL
VJ6to£
Mr G Wheeldon FloD- Chaii ol Governors
V Stothev. G0very￿r
The on Mes 25 to 47 ftyrn part of these fmantial statements.
Page 22

HUUIE GR￿lI￿AR SCHOOL
¢haritsble ¢omp4rry limiied by9u•ranle*l
STATEIIENT OF CASH FLOWS
FOR THÉ YEAR ENDED 31 AUGUST 2025
202S
2024
Cash Ilows from operdtlng adiYltl8s
Nel cash used in operab.ng acliwtses
11.348.3581 11.324.2671
¢a%h flows from in¥￿ting •cts"Yilies
Investment income rttwpts
Pur¢hases (or tan9ibte fixed ¥s8ets
Purchases in 5haTes and lon9 lerm depost5
P¥¢Geeds from salt of invesbmenls
Proceeds frorn Sa￿ ol fLxed a55et5
98361
86.320
1370.6791 1494.133J
11.4BS.946} f4.805.044)
1.75Z.767
7,03Q.581
609.106
Nel cash providèd by in¥•¥lkn9 •ttivilies
603,509
1.817,724
Cash flows frorn fin•nclng activiti•s
Ilet ¢ash pro¥lded byfinanclng acb¥it*s
Change in cash and cash equlvalents In thè year
change in cash and cash ewmvalents d￿n9 Ihe
1744.8491
1,22724S
493,457
529.090
Cash and eash 9qw￿l•nts at the of the y84r
482.396
1.022.547
Tht tt>res ¢n pa9es 25 to 47 form part olthese fin￿[￿ slatwnenls
2025
2024
Rq¢oncilialion of net income ts nqt cash outAow frnm opwaliny
activities
Net outgoing restyjrces
Investment kKom¢
Net IganslAos5 cn n¥estmw)ts
Ow¢i8b"on
Profit on sae ofas$4t
tlecreasellincreasel in deblty$
IDeuea$e1fi￿rea$e in ejedito
IDerxeasellirKxpase in Iw lerm h.ab
1409A501 {1.521, f6TJ
IY8.2611
186.320)
89,522
(270.395)
515J57
471.3g9
IS42.16S1
12B2.7911
IS44,7811
5.7891
11S.229)
404,484
f102340)
11,348.3581 (1.719,5681
Page 23

HULMe GR*AIPAAR SCHOOL
(A¢l4rilabl• Gofflpany l*¥*d by 9uaranlee)
STATalellT OF CASH FLOWS IC0è4TfNUEOI
FOR THE YEAR ENDED 31 AiIGUST 2025
2025
2024
AD4ysls of cash and ¢ash eqyi¥alents
Cash in har*J?r*J at bonk
Deposit5
46S,003
17.393
1,211,628
15,617
482.396
1,227.245
Page 24

HUUIE GRAIIMAR SGHOC
IA¢haritsN• eoffyany limlted by guaraTrthl
IIOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
¢otsnling policles
1.1 cortvention
ThE fina￿al statements ha¥e been prepared li a￿*dance *ryth the Companies A(a 2006 and th•
Slaternenl ol ReaknmerKled Pr4ctre applr4blE to charths preparing thwr acrnunt5 w accordance
Ih the f inancial Rewhr¥J Standard applicabbe in Ihe UK aTrJ ReputlK of Irdand IFRS 1021-
effecti¥e l Januay 2019.
The fvnclb)n21 rjfftncy ol ts sc￿ is cDrtsKlered lo bt GBP because that ts the Cwferry of the
The accounts are drw4¥n the hi$iorical (J)st basis of accounbfN. as mothfied ￿ thg walualion
of inve51ment pfopeitits aid other inve5trnerts.
Tho Sthoth is a 8en¢fil Enkn"ty rtyistEr¢d as a tharty in En￿and and Wales and a tompany
limited by gwantee. It was irKowporaled OTh 23 Fobruary 2Q)7 Icornpany n￿tser.. 0612592n arxl
regi&ered as a on 11 August 1966 (charity numb*. 12018201. The Registered OffKe is
Chamber Road
Ohtharn
OL84BX
1.2 Going concern
In accordance wrth tthr respon5*1rtEs. the &)vefrttys are requited to pr&pare financi
ststemenls on a going concem basis. ul￿eSS it is inappropiiale to assume that the School w
tontinue in operatM)nal exisientx for the foreseeabfe fvture. As part vf this ￿SPOnsi)i11ty. the
Go¥emors ha¥e caremy assessed the se￿￿￿.5 ability to rnget lis fina￿￿71 obl¥Jations a$ they ￿1
due over a period ol al least 12 rnorth5 frorn Ihg date ol sb3r#rvJ Ihe finJKi4 statem•nis.
Thè $￿emem$ hav* b¢on Pf¢patyd on a wng (x)n¢¢rn basis. felkdirg Ihe GovorThys'
expectztion Ihat Sch¢xl will conliNe to operate and generate Susta¥￿0￿ levd5 of fee ino)me.
To $uppttrt Ihis ￿e¥l. thè Schtsol has rnédeued a range of finant>al st￿arloS o¥er the forecast period.
I￿u￿4n9 a re31isb"c worsi-ease posilion Wh￿ lakes inio a¢courit potentyal dedines vi pupil number5,
rfsing cos15. and likdy mrtigatton measures. Trustees Ihe resutts of this *ork and are
satisfied that theio 3r8 no mat•na unwtanties reLwlaiy to th• ScJx)ol'$ 10 t*JntmuÈ a$ 3 gtsing
The SclKd is stknlising fo10￿n9 the financ￿ F¥essW8s arisng Irt￿ th8 18cent VAT introductpJn
and Ihc removal of charitst4È reliel on tvJsiness rales, which nKreased fixed ovetheads. In addth"on.
Ihe S¢ho¢l continues lo facÈ I¥1￿￿ tost pressures. induding ri*ng staffing and operation¥ costs. and
15 ackn¥ety reSpC￿￿1r4j tt¥ryJgh car•hJ c05t man4*mEnL rneasures, and ongThng fnancial
planning.
Oespite Ihese chanerges. the Go¥erThxs rem￿￿ the Sthoof5 proieded cash A
reguirèments tsverthè rA)mNw yÈar are Conf￿￿t that svfffc￿t exists to meet obligations
as Ihey fall due. ccffjfiderK• is supported by the 5tren9th of Sthod's balan(8 5httt, heathy
cash r8servEs, unrtslrKted In￿lMents, aThJ th8 Fknned sale d surF4us estat8 asseis. whth 1$
expcctcd to fittthcrbolstercosh Ilow.
On the ba$ks of Ih* $C￿n0 and fmncd a$sessmÈnts undertaken. Ihe G¢b£mors
CaM5hler the 9ary cortern basis ol preparabtin to bÈ aFpropri*. arJd ty do Mt bdieve Ihere are
any material unc*tainlies b)al w￿dd cast synfficant doubt on Iht Scho¢4's ablity to continue in
operation￿ lor ts lorgseeaL4g fufvre.
PagÈ 25

HULIIE GIIAAIMAR SCHOOL
IA ¢lwilable ¢ompany limiiqd by guaAntre)
IIOTES TO THE FINAIICIAL STATEIIIEMTS
FOR THE YEAR ENDEO 31 AUGUST 2025
A¢Gwn¢*￿ p¢tsEi¢s (¢OntIn￿￿)
1.3 F••s and similar inco
F885 r0cetwd￿e and Ch￿￿5 for Ser¥￿5 and ¢￿¢ of premk%es are zccounled for in the period in
vthith the Ser￿ is wded. Fees re¢eN3ble ale statvd gross ofthe staff ￿miSSIonS granted by the
scThool frrffi ts ￿eStrI￿￿ fvnds. and I￿lude contrtsubons rvceived frorn Restricted Fund5 for
Jr5arTre3.
n rKorne 15 wKluded n iho Stafernenl of Financial Acbvitses when tha SclKsot is legalty entiued lothe
Income and Ihe 8moJnts can be qu8Thbfied with reasona￿* xctsrxy. If￿0me mainly r8presenls fe9$
eamed ui ￿SpeCt ￿ bJitTh gNen during the ￿ar. Fees receibEd In respert of ttjition to be gNen after
the year end are in crèditors as fees fe¢ehEd ￿ adV￿ce.
1A IThv8Stmont I￿orn?
In¥esbmwrt irwmg B a￿)unt￿a for in the perbd (n ¥thKh the th•iiy is enbued 10 Ihe rece
1.5 OonatiOn5 and kgadea
L)onal￿)￿S rec•vat4e for Ihe gener81 ol Ihe Chwty are credrfed to Unreslricled Funds.
Oonations for purposes restiicied by Ihe vithe$ ol the dC￿r are laken lo Restr￿ed Funts where
Ihese wishes are legally bnthn9 on the Governots. except that any amgunts requitpd tD be ￿t￿nE￿
as capil* in accordance wlh the donors ¥rishes are accounted for instead as Endrwments -
pemaTrenl or expendat4o aco)rding to natLxe of Ihe restridion. Vdunlary incoming resour¢es
re ac(xiunled tr as and when entitlement arises. tho amount can b0 4u3ntif￿d and the
e(¥jnOm￿ benefrtto the is con5KJered pmbth.
1.6 Foundation
Income from the HLdme Trust 1$ LY¢diled to res0￿￿￿ avalabk as it 1$ re¢ei*d.
1.7 Expenditure
E¥F¢ndiluTe 15 reet*3ni5ed as 50Dn as a Irab￿ 15 con￿￿ered wobable. discounted ks present valve
foi ksrvJer-lerrn labi1ts5. The irrecoverable dement of VAT is induded wthin the item of expense to
hith it fdales adNth"ps ￿d￿de expendiiur8 irKurred in lurthera0￿ of Ihe Sehod's
objects an4Y o)mprise teaclwry. welfare. prerni5es. and other support costs. Direcl 0)sts are
attr**uled to the ielewant adi￿￿y. whle aUPPOrt costs. such as finance. human re$ource5. IT. and
adminlsvatv￿. are Ikjcated acrtsss ac￿1•￿5 on a consistent arKI rea$orta￿￿ b35i%. reflecliw the use
ol iesourctt. Welfar? costs ifidudè expeTrJiture oft 5ervKes stwortwvj the W￿l￿.￿j of pupils, such
as cateri￿, the sdwl nurse. and ¥chwl counsellors.
Prernlses costs indude slaff costs 2Th1 other costs. suth as mairtenance ol building$.
Governance cosls indude expenditure inoTrd in meebng ¢￿$t￿ub)nal and $talutory fequirgmon15
ot running the School. I￿￿J1￿n9 Ine c•st of Ihe Govefr4ng Board. audil, and cornr4iance activities.
Tlis apwgach •ns¥res that *1 swort and costs are faify reflected vAhin tho ¢haritabl•
adMtie5 they hdp to delNer.
Page 26

HULME GR￿lmAR SCHOOL
IAehariiable Gompany limllod by guaAntwl
P4)TES TO THE FINANCIAL STATEMENTS
FOR ThE YEAR ENDED JI AUGUST 2QZS
nting poli¢i8¥ (Conlin￿dI
1.8 Redundancy paymon
The scho￿ r8CO9nises redundarKy payments a5 termmiaiion be￿rA$ in ac£ordan¢e wth SectiM 28
of FRS 1tTr. A liablrty aTrJ correspoTrthng expense are recognised when the School is demonstiably
comrnitt8d lo a lowmal ￿dundar￿ prtr4rzmrne Ihal rt has no realistic pos$ibilty tsf wrthdravral.
The arnoJThl recegnised rellects Ihe best estimate of thp trxpeeted payments lo be made. Termin*ion
benefits arising fv¢xn ￿dUnd8￿ are presentel within $iatt ¢osts ui the financBI slatemonts. AJI
redundancy sJeci5ions are subj'ect to approval by the Go¥eming B￿J￿ ar¥J tnu5t be irnplernerbted in
a¢cor41an¢e with the S(*M)d's ini8mal pclThs and wo¢edw¥$.
1.9 Operatirng le•*•
Rent45 applKable to operating lea5•s Whe￿ substantialty all of the ri5k5 and r*￿arrfS of gwn8rship
remain wAh the ￿$Sor are £tsged to Il* Statement ef F￿￿ft￿ A6iMbes on a 5tThghl fy'ne over Ihe
term of Ihe ￿2$e.
1.10 Capitali5ation and deprnciation
School bluldfftgs 1cm51￿Cted Since 18971 and have been wtalised at cost and have not been
reval￿￿. The o)sts of keeping tt*$e bul4•YJs •J useful coThJitv)n are writlen off as in¢urrÈd.
An PurC￿4$e$ ofl8ngbt• assets coshng Ihan É1.11)O are cap￿lse￿ at cost.
iecia
Deprec4akn 15 wwded to WTile ofF Ihe w51 01 81 Tdevant tar*Jitle fixed assets less ès*"matÈd
residu￿ based C￿ Ixjrreni Mark￿ prI￿S eventy over thelf expeded usefut e¢owyJmK IDies 05
fdknvs."
Land and bumir
50 yea
Motor velides
4 year5
Cvm￿rter eqLApment
4yea
Fixtutes. fiminys aTrJ eq14pm•nt 10 yoars
work.1￿prO9reSS r¢pre$efi￿ the ¢thi of assets in dwekwent tr4t are y8t r•a¢y for use.
CaFxlal work4Trprogre5s v& riot depfe¢&3ted unli rfs trwsht into Use and becornes a fryed as￿1, al
whKh point dewecHtiDn b8gin5 b358d on its estirnated usefvl hfe.
1.11 In￿*m•nts
Inv8strnpnts a5 fred a55els arE sfvjwn Ni ￿ B4wre Sbeel at Iheir m8rket Value at thal date.
Chang05 in the ¥aluzi￿ of wwestsDenls dumj year aiv shown a5 unrealised gains or losses.
Gains and losses aiising fmrn Ihe dispo￿ ol assets are disdosed as realised being Ihe drfterenc•
behveen Ihe Sa￿ woceeds and the market al tho beginiwj ofthe yeaf.
Itwestments in 5ub5thn"•s ¥e Val￿ al cosl kn$s Fwion for ffiparmenL
Page 27

HULAIE GRAAIMAR SCHOOL
IA charilable cofflpany limited by guarnnl••l
IIOTES TO THE FINANCIAL STATEAIENTS
FOR THE YEAR ENDED 31 AUGUST ZQ2S
Acc4)Urtting poliGi•5 Icontin￿d)
1.12 Penslttns
Th• Charrty c¢nlribtrtes to Ihe Teachers. Pension Scheme at rates Set ty the Scherne Actuary and
athsed to the Bcard by the Stherne Admini51rator. This $cheffle is a multrempksyer pen510n
scheme. It is not wssitle lo idenbfy Ihe &hod's share of the undedwng sssels and liabiliti&s of tho
Texhw5' Pen5HJn Schemt on a ts)nsistent arHI reasorkitrAe basL% and iherÈfDre the School as
r8quire' by FRS102. &ctyJnts fcf the scheme zs rf it were a definèd conlribjlion Scheme. The
Schaofs cOntrib￿￿)n$. are in acurdance wth the r￿mMe￿Ial*)ns of the GovÈmmqnt
Af*Jary, arE chwged in the p*bd fft ¥Ayth IM salaiTh lo ¥vhth V*y rèlate are payab*.
The Charty aso ccntributes lo a s¢heme for 5UPPOrt stsff known as the CARE defined benefft
scheme whKh is opeiated by Il* Pension5 Tru5L Pen5W)ft contrib￿L￿s are ¢harged again8l
reveTh* in the year in Ihe14qlx1ity arwa.
1.13 Fwnd accounting
Funds hekl by the Chartyare..
Unrestricted ggneral fr￿S - these are funds Ihat can be used ffj xcJJnlance wih the charitat4e
obj&ls at thg discrttion of the Goverrtyys.
Re$irithd luTrJs- these a￿ that cw be used for partNxJk¥ ￿$t￿ted purpDses lwihin the
objxls of the Cha￿. RestrKt￿￿ arise when specffj￿J by Ihe donor 01 wI￿n funds ale raised for
particular restricted pwwses.
Endu*ed Funds- th858 fijnds represert the origna eThSu*ments.
1.14 Financi•l inslruments
8ast ￿n£￿al insknjments are irulr* recwised at Iransactiw ¥au8 and sthsequenly rneasur￿ at
amL*tised tosl wth the excepbon of investments are hdd at fair value. Financ•al assets hdd at
aM￿*S¢d cost CDmpri$e ¢ash al bank and ￿ hand. logether with trad¢ and other d•bior$. A 5pEcific
proMs*)n is made for debts for wh￿h recoverabilty Is In doubl. Cash at bank and in haThJ is defined
35 *1 cash held in instani access bank ac¢ounts and Ltsed as worknng capital. Fina￿131 Irabililie5 held
at amort15ed cost comptw all cr9ditors gxcept 50oal secwly arKI oth•r taxes and prowision5. A$5els
and lthdthes hdd in ILYeign currerKy are translated to GBP at the ￿ance sheel dat¥ at an
apwopn*¢ year end ex¢harwJe raie.
Page 2

HULAIE GRAMMAR SCTrIOOL
IAcharita¥• ¢ornp•ny kniited bY9￿ar￿nts¢)
IIOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENOEO 31 AUGUST 2025
ounting polKi•s (co￿tinued]
1.18 Crfll¢al aceounuw judgewnts and kny $our¢os Of •stvnatloD un¢•rtalr
In Ihe ap11calm￿ of the aCcoW￿1n9 ￿"e$. Trnslees are requi￿￿ to make judgement. ests"rnates,
and a55umptiorts abtyA Ihè carrywig of assets and liabl1t￿5 that ar• not rèadity apparerst trom
other souices. Tha e5Lmates and und*tyry assumpims are ba￿ thi ￿$tOrIcal experience and
omer lactgrs that are con*dered lo be reknanL Adual resuhs may ¢thffer from these estsrnale5. In
preparing Ihese accounts Ihe Tru51ees have apptped such factcrfs n Nidging recoverablity of
debtor$ so that a p￿slOA for dOUbtr￿ Ilebts be estimal
951imal•s and a55umplW￿ are on an ¢Ing￿ basis. Revisio￿ to
accounling esl#mates are recogniseil in Ihe period In wh&* Ihe estWDate Is revised rf Ihe rewsion
affed$ onty tha; pefwjd, or yi the period of the re¥￿ft and ftrtwe periods rf the reV￿on affected
¢wreni fvturé p•riod$.
In Ihe of the trustee no assumptws concernirvJ the fubjre or estirnat￿n uncertainty affecting
a$5e15 or Ira￿￿￿￿5 * Iho balarKe 5heel d3te are IIKety io re5th ￿ a rnalw* adjustrn8nt lo Iheir
carryin9 amounts in Ihe next finznoal ￿ar other than the prwsion for tke pension defithi levy. The
S¢hwl has an obb"gat￿n lo pay ¢eftst fvndiro ¢Mlribution$ towar¢ts the Support $taff defined benefit
pensvJn plan. This provis￿￿ 15 deppndent on a rnjmber of ladors IndudirrfJ discDunt rate. lile
expeelancy and as￿ valLialKTrThS. The assurnptws reflect tsslor*41 expenel￿e and current trends.
School f
Unrestricted
funds
21+2S
Totsl
funds
202$
Tot81
fund$
2024
Gros5 tuthn fees
Less." Fee diKwnts
Less.. Total bursar*. $¢holarsI4p$ and althan¢es
8.811,477
,811N77
1118,004} 1118,0041
1207.9591
IZ07,959
9, 159,563
(142,6901
{329.9151
8.485,514
4.485,514
8,686,958
Pa9e 29

.HUU4lE GIi•MMAR SCHOOL- ::.
A charttsble Company ￿till￿d by guaranteej )..[
IIOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR EIIDED 31 AUGUST 2025
2025
2024
Tolal buvsadès. scholarships and allowan¢ts comprised:
Tolal s¢hrAarshrps arAI •low¥￿$
Bursaries paid by restTr*d
Hardship Fund
11.012.5061 {1,094,6191
804y7
752. 104
12,6Li7
1207,9591 (329,9151
The Schocl has reduced the k¥el of L¥Jrsawies awarded compared with last year in order lo ensufe thè
Jstairth"Ky of ils finanos fft thè fa¢0 Ofi￿ry OPBraliwal a[￿ 5kffw costs.
Ancli lary tradin9
Unrestrlcted
fuThd5
2025
Tolal
funds
202$
Total
2024
After s¢hocl and other
School me*s
Bus lar8S
Entr¥Ke aTrJ regb5trabon f89S
Couraes. eXam￿li0n fe*s arvj S￿ lett
Trp irKome
28.107
243.231
66.871
12.370
203.649
28.107
243.231
66.871
12.370
203.649
48.334
40,430
247,867
77,620
10,920
115.679
103,943
602.56Z
602.562
596.459
Grafftts and donati¢￿5
Totsl
funds
2025
Totsl
und5
fvr
2025
2025
2024
Foundats"on ALcwnt
Donation5
Gfants
520.241
35.674
137.984
555,91S
137.984
71638
111,534
520.241
173,658
693,899
204.698
Page 30

HULIIE GR*AIMAR SCHOOL
IA¢lwil*bl* comMn¥ I¥￿ited by guarantr¢l
NOTES TO THE FIWANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Inv•stm¢nt in¢*>n¢
Total
fund¥
2025
fvnd$
2025
funds
2024
25
Incorne from qucled investmert¥
Ir￿me Irvm cash d9W5iIs
T7,591
77J91
20.670
66. T15
19.605
20.670
20.670
n.591
98261
86.320
Other In￿rning ￿¥V￿r¢t3
Unrnstrithd
fvnds
2025
Total
fun
2025
2024
Mk8cellaneoLts inc•rn•
Irrteresl3nd account rharges
690.804
16.89J
109,997
25,725
16.893
707.697
707.697
135,722
The signrfitsnt fftcrease in mis¢etLoneous irtome is pnmarfy t¢ £540.Cw)O pr4reeds from Ihe s
of a buik*"ng'. excluding Ihts. miscdlaneous ir￿rne ts bro• in line *ryth Ih? pmryear&
Pa9e 31

HULME GRAMPIAR ScFK￿L
IAd*r*able ¢ompany lirnited by guardntrt)
PIOTES TO THE FINAIICIAL STATraENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Staff eosts and nlal•d party Ir¥nsaGtions
2D25
2024
Total staff ¢o$ts ¢omwi¢ed:
Wages and s*aries
Soclal st￿jn￿¢0sIS
Penstan conlrfbuoons
5.118.708
61¥.628
1.a21.650
5.9x1.394
571,858
1.015. 125
7,451,996
7,537.377
202$
2024
Aggrog21e emFlotree benefits olkej perso1￿1
979.721
853,561
979.721
853,561
The kty managaneffl Fefsonnel in Ihe note above consists oflhÈ sen￿ Ltad¥ship Team.
The a¥eièJè Nmter of employees H) the year was 183 12024.. 215) of whith 74 12024.. 11X)I were
teachiry 5tsff. Nether the 9)¥err￿lS nor persons connected ￿1h them received any remwJeratK)n.
£1.481 of Iravel expenses were reimtwrsed lo Ihe GThlec￿r5 dvtty th2 ￿ar{2￿14.. £nJ).
Induded within the Wag85 and saaii8s wsl is £199,8Z3 (2024. £39.840) relatin9 b) redundancy
paym*nls to 2D (2024." 5) unployee* No amwnts related ￿ l*mirtalFon payments were *)Utst*￿in9 •t
31 Augu512025.
The number ofempw reCe￿*d rtmuneraticffj in th* fdhMTrJ band5 was..
2025
3024
More thzn £60.OCQ t*Jt lessthan £70.000
More Ihan £80,OC¥) tr￿rt les$lhafi £90.L
Mor* than £￿),oC4) ￿ ￿5$ t100.(¥J)
Mort than £1{KI.(￿ t•Jt kss than E120.OryJ
. The n￿nbel ol hightr pad ern￿oYeeS for wtK¢m tslw•ment benefits ar# aoyuing ur¥JBr defined b8ngfi1
sch•m¢s arnount¢d ts 3 12024.. 31. Ernphjyer ¢￿ti￿tiOnS for amowted to £36.886 12024..
£38.1281.
Page 32

HULME GIIAAIIAAR SCTrK)OL
{A¢haiikble eofflpany ￿rnI￿d by guaAnte¢l
NOTES TOThE FIIIANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
Analysls of e¥pe•dltyN* ty actlvl¥es
Totsi
lund$
2025
Totsl
Staff costs
25
Ollw Depreciation
2025
2025
2Q24
Charltable a¢tivll19S:
Te&h￿ig
Wella
Premise5
468,287
Support EQ51s aThJ 90￿ManC• 1.354.753
Granls, awards and pri
5a89.C66 860.510
184,833
470,621
389.799
938,123
6.249,606 6,814548
521.315
522,240
1.346.040 1.553.656
1.ASI777 1,842571
938,123
764.704
407,132
108.225
Total Z075
7.548.588
2.843.916
515,357 10.907.861 11.501, 119
Tcéal 2024
7.405.788
3.624.532
471.399 11.501.719
2025
2024
Governance costs irt¢luded In sUPPOrt costs
Expens8s and other costs
Auditors. remuwabon
237
2S.488
2508
23.30a
25,725
24876
Tanglble fixed wtsets
Frthold
Fixtur•s.
land and fftting5 and
budding5
T¥ehi¢les
C•pitsl
work-i
prooress
Tolal
C081 or valuation
At I Sepiember 2024
AddilK)ns
ov3po￿$
1,144.094
3.621381
370.679
1121.3361 11.182.969)
340.193
12.106.668
370.679
19.106) 11.313.411)
At 31 Au9USt 202S
1.122.758
2*10.091
251,087 11.163.936
Page 33

HULMe GRAMMAR SCHOOL
IAthar#able comparry Ilrnknd by guai¥iiipèl
IK)TES TO THE ANANCIAL SYATEMENTS
FOR THE YEAR EMDEO 31 AUGUST 2025
TangiW• Ilxed assets l￿nbnUed>
Fr¥•I￿ld Fixtijrns,
land •nd IItrAAg$ and
buildlng5
C￿lta1
work.inp
pro9r•s5
Total
Depreciation
At 1 Septèmb8r 2024
Charge for ￿ar
On disposat5
3.24U38
1295.568
326.510
181W61 11.184.914)
4538.406
515,3FI
11,246,470)
At 31 Auwst 2025
3.370.129
1A37,164
4807.293
Net book valu•
At 31 Augu512025
4,754629
1.37I92T
231.087
6.356.143
At 31 Atwst 2024
5.001.258
1.32&813
240,793
6.568.262
Trys baaTrro irKfu¢l•s land arvj bul¢ty wlif* are endtyyed aMtyJntt￿ to NBV d £1.880.740 12024..
£1.943.3561.
The CAptsI ￿￿.￿FprOv5s balw of £231.087 (2024.. £240.1931 rektss tts Ihe Art Blo¢k RefuO.
H¥kne Court Refurb, and comp￿￿ Lab Refwb.
Page 34

HVLIIE GRWAh1AR SCHOQL
(Adwllable company Ilmknd by guarnnleel
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR EMDED 31 AUGUST 2025
10. In¥¢slrnents
Listed
wvvstmtnts
Cash
Total
cost orvaluatk*
At I Sgpttmbw 2024
Addrtions
Withdrw45
Re¥aualions
1.750.000
98,886
1.848.896
1A42.962
1.54IY62
192.2191 11.752.767)
189,5221
11.660.470)
119.5221
At 31 Au9USt2025
1.S49.SSS
1.S49.SS9
Net book value
Ai 31 Aug[￿ 2025
1.$49.$59
1,549,5S9
At 31 Augusi 2024
1.750,OQO
98.886
1,848.886
VnrE51ricted Restricitd Endowment
funds
fvnds
funds
2025
2025
Toiar
nds
2026
Tolal
lunds
2024
2025
Listed invesknents
Cash deposrt5
194.
194.S90
131.392
1.750,0
98,886
131.W2
131.392
194.590
325.912
1,848,886
Tolal 2024
847,770
806.526
194,590
1,844886
11. D•bio
2025
2024
Tuibon ffees- Pare￿5
Olhef debtors
268.3SI
8.417
84,394
239,586
606.771
323,980
Page 35

HULME GRINNWI SCHOOL
IA Charitable Company limrted by,guaranteel-'
IIOTES TO THE HNANCIAL STATEME14TS
FOR ThE YEAR EIIDED 31 AUGUST 2025
11 Crtditorn: l•lling th* within on• y
2•25
2024
Fees in lset note 18)
Trade credrftys
Dep05rt5
Taxab"on and secunty
Lozns-
Other ¢re(Itors
ACcsU￿5 and deferwed income
546,551
694.242
154,160
222.221
.17,394
216.209
35.470
1,275.501
476.228
191.318
258.171
17,317
180. 770
32,343
1,886.947
1431. T28
Page 36

HULIAE GRAAIMAR SCHOOL
IA¢h*ilabl• GompaDy ￿mIted byguaA•rtwl
IIOTES TO THE FIPIANCIAL STATEMENTS
FOR THE YeAR ENOEO 31 AUGUST 202$
13. Greditoes: Amounts falling flue afterm0￿ Ih•n one year
2025
2024
Lèase knan-
Bounce back loan-
Provisiw fcr dehJ"t payff*nts
9320
9,622
8.418
109,533
42.564
61.714
127.573
2025
2024
Provision for pensitsn defKit levy payrnents
I￿￿ded in Crerfrtors. poyaNe with￿] 1 yo
Long tenn Iiabthty. p¥yaYe after 1 yEar
72.208
42.564
70.094
f09.533
114,772
179,627
'A Loan lor a N*"nibu5 was taken out iiuring 2023 and be repaK1 o¥er a S-year F*md, ths is a fixed
late loan of in51almÈnl arn¢￿1 £555.69 p¢1 monih or Capital inlerest.
-8ounce 108n was taken wt durwva 2020 and wfA be repaNJ over a &year pewd, this is fi¥ed rate
loan of insfalment amtyJrt £887_25 per month indusNe of caprtaf and interest
-"Balances have been re*￿ated to wpreswitthe conect •Jeing oflhe IpbIrt￿.
Page 37

{AEtharllable compary IiLThlod by guar•n¢eel
140TES TO THE HNANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
14.
Financial inslJum•nts
2025
2024
Flnancial as8•ts
Finanoal assets m•aswed al amothd tost la
Fina￿101 asws measwgj at faw vthe Ib}
600A38
1.632A84
1,399,925
1.750.000
2.232.922
3.149.925
2026
2024
Financial liabili*•S
Finanaal liabilitres measfftd at arnortrsed tost (c)
Finantyallobilihes rnea$weo at {d)
993.102
141.388
778,222
214.984
1.134.490
993.206
lal FinarK¥al assets indude cash, Irade and fee debiors, staff k)ans. rther debtors and acuued
irtome.
Finarval a5xts held at tax inthe assets held a5 inveslrnenl5.
Ic) Finawal IkBts'lthes hdd * affl￿115ed cost IrK4ude ￿e￿SIt5, trade C$edito￿ and other credilors
excluding liablitRs at f•"r
Id) Financial Ik7bdilies at faw i￿l￿de lease Babknties, ban$ and oblb3atKths for der￿ed
benefit pensvjn scheme.
Page 38

HULIIE GRAMAIAR SCHOOL
IA¢lMrftsbk ¢0M￿NY Itmiled tygu•r•nleel
NOTES TO THE FINANCL4L STATEIIENTS
FOR THE YeAR ENDED 31 AUGUST 2025
15. Analysls of ￿ndS
Anatysis of fvnds- currnnty&gr
Balance al 1
September
2024
B*nce at
Gain￿ 31 August
ILo$sasl
202S
Incom• Expend$￿1•
Unrestrittsd fvn¢ts
De¥l9nat•d lunds
Do$ignaled Funds- a# fvnds
291.6
291.636
G•n¢rnl lunds
General Funds- ￿7 fiJrbJ5
3J14.OSS 10.336.684 110.LIIO.6981
4.210.041
Tgtal Unrnstrictsd funds
430S.691 10.336.614 11ts.IMO.6981
4.501.677
EndowrnntfvnrJ5
En¢rr•Jmenl FLThls. all fvnds
1137.944
162.6161
ID75.321
Bursari•s & Prv£es Fwd
Bu￿ry FLmd
Butsary F￿d
Capital Prgpct Fund
754.102
18.741
1S3,280
139,J14
251249
IW4.547)
189,5221
111,292
18.741
153.240
135,314
1.065.437
251249
18045471
189.$221
42Z.517
Totsl offvnds
7A09.072 10.387.933 110,907.861)
119,S221 6,999,622
Page 39

HULME GRAMIAAR SCHOOL
(Acharil*blÈcomyty limrfed by guarnTrlEel
IIOTES TO THE FINAMCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 2025
15. Stalwn•nt of fvnds Icontinuedl
*AMlysls oflun￿-￿Iory*ar
September
2023
Gain
IL0ss6s)
31 Au9USt
2024
Incon￿ EX￿nd￿￿1•
Unrtstrfcted funds
Deslgnated lunds
Deswnaled Fund5- 41 fiJr¥Js
304.236
(12.6GQ)
291.536
General lunds
G￿￿ra1 F￿d$- ai
5.Q18.428
9.527.426 (10.661.799)
3.914.055
Tolal Uniotrict•d funds
*352.661
9.527.426 rqo.674.399J
4.205,691
EndowmgntfuDds
En4¥v*Ment Funds. 31 funds
2.200.560
(62.616)
2. 137.944
R¢strt¢ted Itjnds
8ur5aFieS & PFizes Fur*J
8ur5ary Appea Fund
8ur5ary Fund
Capild Project Fund
1.065,680
78.741
153.280
139,314
182.731
1764.704)
270.395
754, 102
18.741
153.280
139,314
1.3n.015
182,731
(764,704)
270,395
1,065.437
Total of funds
8.930.239
9.710. 157 (11.XIy.719J
270.395
7.409.072
The Restricled Funds operate io I￿)d bjrsaries aThJ capita expendituro woieds. The Enthwed funds
constitut* thg deprEoat8d hkstori¢ cost ol ts land and ￿l￿￿n9$ on Chambgr Road $it• whgn tho
Schr￿1 21Y)7.
Thè Mdtrwed knd is èXF4ain#d in 23.
Page 40

MULME GRAIIMAR XFWJOL
(AGharflaWe cOm￿nY kmitsd by guaraTrt•el
NOTES TO THE FIMAMCIAL STATEMEMTS
FOR THE YEAR ENDED 31 AUGUST 2025
16.
Summary 01f￿d8
Summary of funds- cuwr•nt y•ar
Balan¢e at 1
Sèptember
2024
Balance at
31 Aupust
2025
Galnsl
IL0￿*$)
IKom¢ E¥ponditu
085ignaled fvAds
Gener￿ lunds
Endwnent lunds
Ro$tr¢t8d futhls
291.636
3.914,055 10J36,6M 110.IMQ.5981
2.137.944
162.6161
1.QSS.4J7
1104.$471
291￿6
4,210,041
2.07S.328
422.617
251.249
189.5221
7A09.072 10.587.933 110.907.B611
189.522)
6.999,622
Summary offvnds- pnorytsr
8alaTrce al
31 August
24
I S?plembar
2023
lrtome Expen¢kn (Lossesj
Designated fijnds
Ggn•ral fvnds
Endowrnent funos
Restncted fwjs
304,236
1048.428
22￿.560
1.377.015
172,600J
9.527.426 (10,661.799)
162.616)
1764. 704)
291.636
3.914,Q55
2,137,944
1.064437
182.731
270.395
8.930.239
-710. 1ST (11.501.719)
270.395
7.409.072
17. Analysis ￿ I￿t•s$ets lthen tsnds
UnTrstrict•d R•strict•d EDdowm*nt
fun45
fvnds
2025
202S
Totsl
funds
2025
Total
funds
2024
202$
CuTrÈnt y*ar
Tangible fixed assets
Investrnent5
Nèt ¢w¥ent Ik*11￿85
Long term k"ablity
4.475.905
637.985
717.wl
(560.4101 (294.3
151.7t141
1,880.738
194,590
6.J56.643
1.S49,5S9
1154,796)
151,7W
6.568,262
1.844886
1880,503)
{127,573J
4.501.676
422.618
2.075.328
6.999.622
7.409.OT2
Page 41

HULIIE GRAMAIAR SCHOOL
IA¢harllabJe c¢xnpany lifflitsd by guarnnl*•l
IIOTES TO THE FINANCIAL STATEMEIITS
FOR THE YEAR ENDED 31 AUGVST ZOZ5
Unrn9tricl•d Rutricted Erthwment
fvnds
funds
2024
2024
Toia
lunds
To181
runds
2023
2024
2024
Prioryear
fixed assets
Investments
Net ¢Urrefit1oi￿thes
Long term liabthty
4.fJ24.
847.770
11.139.414)
{127.5731
1.943.354
194.590
6,568,262
6,545,528
1A48A86
3.804.027
1880.5031 (1. 189.403)
1127J731
1229.113)
.526
258.911
4.205.691
1.065.437
2,137,W
T.409.072
8.930,239
Fees In advan¢e scheme
Pa￿nts may enlEr into a (¥Mtsa(a ￿ pay ts Schod in ad*dr￿ k*fixed coniTknUwJ￿ lo￿ardS thè tuloor)
fo85 for up lo 2 years. The money rnay be retumed subieu lo speufic Cond￿On5 on the receipt of nc•c8.
Assurning pup￿5 wil ￿main in the Sclml. fee5 in thance be gpplEd as follows..
2025
2024
one year
2 to S years
646.SSI
7, 156.472
71. 109
546,551
1.227,581
2025
2024
Summary d movem•nts kn Ii*nity
8alance al I Septernber
New contra¢ts
1327.587
846.5$1
11227,5111
436. 179
7.205.453
(414,0511
B•kn￿ at 31 hJw5t
$45,$51
1,227,581
Pay 42

HULAIE GRAMMARSCH(KJL
IA¢haritable ¢ompany Jimil¢d by guaraffttee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 AUGUST 202S
19. Finan¢t lease ¢omm1lm8￿ts
T￿ lutUf8 rninimum lease P￿ents uThJer r•)n-caullable opernbry leas?5 ¥È as folaw5".
2025
2024
Plant & Equipme
Less than 1 year
Bebveen 2 2ThJ S years
Over 5 years
38.114
17.1
32,573
45,022
55.998
77,595
The totsÉ operatin9 t05t5 IDrthe )tar*re E35.623 (2024.. E45.015).
20. Capitat Eommitrntnts
Al lh¢ 8alanc• dalg lh8 Sclh701 h>Y £370.CW wnmilrnents were •UtIDri5ed but Iiol
aCCru￿12024". £n4.
Pag8 43

HULIIE GR￿A￿AR scH￿l
{A¢h•iitable c4xnp*ny Itrntted ty gI￿An*t)
NOTES TO THE HNAIKIAL STATEMENTS
FOR THE IEAR ENDED 31 AiWST 202S
21.
T•aeh•r5 P•nsion Sch•rn•
The Sch(d partwipales in th8 Teacher5. P￿slon Scheme fthe TPS) for tts teachng Staff. Th8 pension
charge for Ihe ypar •1¢bJées ¢ontthbons pèyatrAe to the TPS of £277,880 12024." £902.4981 and al the
year-en(1 £26.67012024- £111.83¥ was accnjed In respect of contribu￿n$ io Ihis schem8.
The TPS is an unfur*J8d rNIb-gffl￿1O￿V defined benefits peTh5iOll 5chemB go¥erned by The Teachers,
Pensron$ Reyulth"on$ 2010 las amendeffj The Teadws. Pension Scheme Re￿atiOnS 2014 las
amended). klembers Djnlribute on a 'pay as 90 basis *ith contrbJt+on5 frorn rnember5 and the
empkyer b￿n9 credited to tt* Exdwr. Reb"rement and other perts*Jn benefits are paid by public funds
prvvided by Padrdmetrt.
Tre emk4oyer coNnbUt￿ (ale k8 $W by thÈ Secffei￿ of Stste folwNJ s¢heme valuatws by
the Govwnm?nt Aduarfs Depatheni. Tne most racent actuard valLtation ofthe TPS was prepared a5 at
31 M¥ch 2020 and th¢ Valualion Report was putlishgd in O¢lc*¢r 2023. The Vluabon Report shows
notKsnal assets of £222.2bn and Iwtxl*ies of£26￿. re$￿ing in a xheme deknl of£39.8bn.
The emplo￿ Contrib￿.￿ rate lor Ihe TPS i$ 28.6%. and are also requirèd to pay a scheme
admini51rab.on ¢fQ.08% a tot4 emkn¢onknbulW t¥lo 0128.68%.
Support siaff P•nsion st￿M0
The School's S￿port staff pathpate ￿ the CARE Scheme whith is a funded rnulti ernployer defined
benefil xheme tspernted by TPT Retrement Sttlubons. main benefrt F*¢)vided by the eonlracte&otst
Scheme is a pensb)n of one￿g￿l*￿ of ts memberfs Iweew average reYJlued eary¥ngs each land
month$ proporbonatelyl of pen$￿a￿te seryice.
The ojmpeny parhopates in Ihe Jcherne, a mUl￿eMF￿oYer sciierne proV￿Je$ benefts to sorne 36
r￿￿-aSS0oated emF4oyws. The sL*eme is a defiTred beneffl scheme ￿ Ihe Ulc
It is not possitle for tha company fo obtan SU￿￿1￿nI infomation to enaNe it to account for the scheme a5
a defined benefft scheme. Therefiye rt actounts lof Ihe scherne as a defined cOThlribJt￿n scheme.
The scheme is gjbject to Ihe fvndir@ reg￿ation tyJl¢ned in Ihe Penwns Acl 2004 whith came into force
on 30 Deumber 2005. Thi5. togelher with IfrxLThènts issued ty the P¢n5ws Rtgyl*or and TKhniEal
Actuanal SlaTrJards 15$L￿d by the FInar0￿ Rtporting Councl. set tyjt the frarnework for funding deffined
b9nofflo￿pati￿l F¢nsFJn s(**rne$ In U
The scheme is das5ffied as a 1ast-man s￿dI[￿j a￿angeMen￿. T￿refore the company 15 Potenbalty liable
for otPw partopab.ng &n￿oyers. obtpjatv￿5 rf trw)se ernF4oyws are una￿e to meet Iheir $hare of the
scherne defiat foTrowirry wthdraw4 from 5dwme. P¥rtKipats"n9 ern4vygrs arpIgg4￿ tgr4uired to meet
their share oftt* scheme deficl on an anniuty purchase basis on wthdravral from the scheme.
A luu xlu4rial for xh¢m• was ¢arri?d oui al 30 S0plemb#r 2022. This valuaticm showed
assels of E49.6m. lats'￿ties ol £57.1rn and a defiot of £7.5rn. To dimirAle thi% fuThding shortfal. the
Truste¢ has a$kgd ts pa￿￿.￿*￿.￿j empkyfiis lo pay ad(liJ"on4 ¢ontrtsuts"ons lo the scheme as fdkxs..
Daficil contribulion¥
Frtyx 1 Aprl 2024 to 31 M￿h 2027:
£1.672.￿0 p•r anThJm
(payat4e monthty arKI Y￿re&S1￿a by 3.0% each year ￿ 1st Awa)
Page 44

(A¢h•rilable company limknl by quarnnlèel
NOTES TO THE FINANCIAL STATEIHENTS
FOR THE YEAR ENOED 31 AUGUST 2025
recovery are al￿*•d ts •ath p*1it4pab"NJ emKlwr wi l*i* wilh their ¢$l¥natsd
share olthe sthme kabthlies.
Where Ihe scheme is in defiut and where company agreed to a deficit fundirvJ arrangement Ihe
pany ￿gnISeS a ￿abIllY fw thi5 0￿14at￿. The amourrt iery)gn¢sed is the nel present value of the
def￿1 reduc*vn ¢onthbubon$ payat4e under Il* agreement that relates to the defic￿ The piesenl value is
cathaled using the discourrt rate detaled in these dL%d0Su￿. The unvthnding of the thscotsnt rate is
recogniYd as a fir*￿e cosL
2025
2024
RECOMCIUATION OF OPENING AIIO CLOSING PROVISIONS
PrfMS•3n ai start of pwwjd
UnwiThAing olthe fxtor (interest expense)
Defi￿ ¢ontrbulion wd
Remeasurements. vnpad 0[￿Y ch￿e in a$sumFth
Remeasuromenb. ￿e￿lments to sc*edul
179.627
6.912
(72.2081
441
266.563
13.991
(70.094)
2364
(33.197)
Provlslon at end of perfod
114.772
179.627
2025
2024
INCOME AND EXPENDITURE IhlPACT
SntgrESt pxppnse
Remea>Jrements- I￿ ofany dwnge n a59Jmptl(x75
Remea￿reMents- ameTrJments to tne tontntyjion Schedule
contrfbuts.ons paid in respect ol fviure sernce-
Costs rtto#n￿d ￿ ino)me and upeTrJittre a¢cow
6.912
441
13.991
2364
133. 99TI
7.353
115.542)
"¥idud¢$ dgfined COThtribJbon $¢hern￿ and futtff• $erYKe coMribultyJn$ li.•. wcltyJir8 arw defjclt
reduction payrnentsl to defined benefd s¢hernes wtKh are treateLI a$ ￿er￿ed contsibutrJn 5thernes. To
te cornpleted by the cJ)mpany.
Page 4S

HIILIIE GRAMfAAR SClmL
IA ¢harflablp ¢ompany lin￿ted by #uaranth•l
IKITES TO THE FINANCIAL STAT8IENTS
FOR ThEYEAR ENDED 31 AUGUST 202$
ASSUMPnONS
Rate of thso￿nI
2025- 4.36
2024- 4.90
2023- 6.03
2022- 4.26
The discryJnl rale$ 5hth¥n abobt are the equwalenl 5iThye dscount rnles which. when used to discount thè
lulur* ieco*ry ¢crtribulions dug. would gNe lh8 sam¥ ro$dts as using a f(dlM ¢orFxrate bond
curye to discounl Ihe 53ffl• rttOVÈry Flart fOnlr*wi￿.
22. Relaipd party transacllons
Durfn9 the yw. four Cthernors h>J tlkldren attended Ihe Sthocl. Threè memb￿3 of the Senior
Leadèrship Team h•Y one rA rncie chldren * the 5rJ￿ and receNed a staff discLWt in linp ￿th no￿al
commere4al terms.
ring the ye8r. the SCI￿ purchas&4 legat servKes from North Ainley sd1¢*￿ fft rel8tkln to Ihe sale of
buldings.. a member of the Boar¢J is a panner at the frrn. The seNces Were procur6d at èrrn's length and
al mwkel value
ChJiin9 the year there wer• nts OlhÈ¥ relai•d partytransactions that r*•ded lo be disdosed.
23. Endowed fvnds
The SL*ools' mail buddir¥J was deemed to be **Jo*ed in 2C#J7 and Ihe valuaiion ￿a¢ed cn this a$ at 31
August 202$ %Yd5 £1.880.740 12024.. £1.943.3561 which wa5 ¥ rnduth.on of £62.616 12024.. £62.616) Ory
the pr8¥P?US ygar resdlirq Irom the annu31 depreciètw charge on tr￿se assets. This depreciation char98
1$ s￿n ￿der Endowed Fund5 On the face of th8 Statement of Fnancial AciMl*s. In addilion. £194.590
12024.. £194.5901 of inTrrtsbnenl assets are a&0 recofded as ¢ndofftd fuTrJ$ in the school record
24 Ptygt bal•n¢• ¥herf ￿¢nts
gjbsequent lo Ihe >*ar end. Ihe Sck¢Jl sold a prot*rty (tmmeycroftl on the 22nd ol December ft*r
consideratson of £1.825.OC#J. T￿"$ trartsaction occurred afler ihe reportry IherÈfore repre5ent5 a
noTr*jusb"n9 p0st.balan￿ $￿et event A£cord￿Y, adiusbnerrt has teen madÈ to Ihe amounts
reccqni$8d in these finarKrd stsiements.
25.
Subsidiary
Th• S¢b¢ol owns 100% 01 th¢ $hare rAPrta of ijdham Hulm¢ Grammar Schc4>1 Ilntetn*K)nall L¥niled
is a dormant CLvnpany intThpwaled on 12 February 2014 The School is exempt frorn preparir
¢￿s￿l￿ated aco)unts because Ih? cLmmpany i¥ ¢lrn
Page 46

IIULIIE GRAMWIR SCHOOL
IA ¢harilable ¢omp4rry limitsd by g￿rInts*)
NOTES TO THE FII4ANCIAL STATEh1Eiirs
FOR THE YEAR E14DED 31 AUGIIST 2025
Statsm•nt•f financAI 4￿b¥ll11$-¢Qrn￿Af1¥O fiyures by fvnd-typ•
STATEMENT OF FINANCIAL ACrnIrnES (INCORPORATING INCOME AND EXPENDrruRE
AccouKf) FOR THE YEAR EP4DED 31 AUGUST 2024
Unregtrie*d R•sixi¢*d Endowment
fund$
lunds
fur￿
3J24
2024
2W24
Tolal
rot
nd5
2024
lunds
2023
Incomo
endawrnents from:
8.616.95•
596,459
81.642
19,606
13S,722
8,616,958
596.459
204.698
86,320
135,722
Q283.467
531.414
271.877
I￿.&66
485.422
Ancillary lrnth.re
f￿an1$ and dmatic
Irhwtmenl irtth)e
Ot￿r actiwties
116.016
66.716
Tolal In¢om2 and
ndowm•nts
9 710 157
9 721846
Expendltsll¢ I￿.
Ch•iiable ac1ht￿5
10.674.399
61616 11.S01,719 10.608.579
Total expendllur•
10 674 399
616 11501719 10.fO8 579
N•texpÈndityrè
belorè net
gain*llostè¥ on
nveYJnents
-f.14&9n
-581,973
41616 -1,791.$62
-a86. 711
Nel gansi¢&)sse$l
iTh*stmenls
2￿.j9s
270.39S
-152.957
Motmovem¢nt In
n<15
Page 47