## Musical Youth Middlesbrough 

## Trustees’ Annual Report 

For the period 22[nd] May 2023 – 31[st] October 2023 

## 1. Reference and Administratve Details 

Charity Name: Musical Youth Middlesbrough (MY Middlesbrough) Registered Charity Number: 1203184 

Principal Address: 10B The Gables, South View, Spennymoor, DL16 7DF 

Trustees during the reportng year: 

- Elizabeth Lavelle 

- Joshua Bentham 

- Barbara Inman 

No trustees receive remuneration for their services. 

## 2. Structure, Governance and Management 

The charity is governed by a board of trustees consisting of three individuals. The trustees make decisions collectively. As a small charity, the governance structure is deliberately straightforward and proportionate to our size and income. 

The charity operates a dual-signatory system for financial accountability. Trustee recruitment currently takes place informally, based on appropriate skills, commitment and understanding of safeguarding duties. All trustees are aware of their legal responsibilities to act in the charity’s best interests. 

We work locally with young musicians and their families, and maintain links with schools and community venues. Volunteers and trustees work closely with participants to ensure activities are safe, supportive and inclusive. 

## 3. Objectves and Actvites 

## Our Charitable Purpose 

We provide a free youth orchestra, run by volunteers, to children in Middlesbrough who otherwise wouldn't have the opportunity to play in an ensemble or to perform publicly. This can include providing instruments and tuition and we aim to give children the opportunity to see professional musicians perform and participate in workshops with some of those 



musicians. We do ask for a 50p voluntary contribution each week, if families can afford this – this is not enforced. 

## Public Beneft 

In carrying out its aims, the trustees confirm that they have had regard to the Charity Commission’s guidance on public benefit. Our work provides a clear public benefit by: 

- Enhancing access to music education for disadvantaged young people 

- Supporting personal development, teamwork, confidence and wellbeing 

- Enriching local community life through performances and participation 

All services are provided free of charge, we ask for a 50p voluntary contribution each week if families feel they can afford this, though this is not enforced. 

## 4. Actvites, Achievements and Performance During the Year 

During the year, the charity has: 

- Increased partcipaton , welcoming more young musicians into ensemble activity 

- Supported the development of musical confidence and skills 

- Enabled musicians to access more challenging and rewarding repertoire 

- Delivered public performances in and around the local community 

- Strengthened the social connectons between young participants 

- Developed an enjoyable and inclusive ensemble culture, boosting wellbeing 

We consider this year to have shown significant progress in both musical and social outcomes. 

## 5. Financial Review 

## Income and Expenditure 

The charity receives income through donations, small grants and voluntary contributions. All expenditure is directly related to delivery of our charitable objectives. 

A summary of financial activity is provided in the accompanying accounts. 

## Reserves Policy 

As a small charity, we currently hold minimal reserves. Any funds retained are intended to ensure continuity of provision, cover operational costs and enable planned activities. 



## Management of Funds 

Two trustees — Elizabeth Lavelle and Joshua Bentham — hold responsibility for financial oversight. 

- All donations and grants are paid into the charity’s dedicated bank account. 

- Expenditure must be approved and signed off by both signatories. 

- Trustee Barbara Inman does not hold signatory rights. 

This arrangement ensures accountability, transparency and good governance. 

## 6. Risk Management and Governance Maters 

The trustees have identified several key risks and have adopted proportionate measures to manage them: 

- Small scale and low income — activities are planned realistically within available resources. 

- Financial control — dual sign-off and collective oversight reduce risk of financial mismanagement. 

- Sustainability of partcipaton — we continue to monitor uptake and promote awareness locally. 

- Safeguarding — trustees are aware of responsibilities when working with children and aim to formalise policies as the charity grows. 

- Large expenditure decisions — all significant spending is risk-assessed, considering benefit versus cost. 

As part of future governance development, the trustees aim to: 

- Formalise safeguarding procedures and ensure DBS checks where appropriate 

- Explore growing partnerships with schools and local groups 

- Seek small grant funding to improve sustainability 

## 7. Plans for the Coming Year 

Over the next 12 months the charity intends to: 

- Maintain and ideally increase membership numbers 

- Expand repertoire and ensemble skills further 



- Deliver more community performances to raise awareness 

- Build local partnerships to extend our reach 

- Explore small grant funding streams to stabilise income 

## 8. Declaraton 

The trustees declare that they have approved this report. 

Signed on behalf of the trustees: Name: E. Lavelle Position: Trustee Date: 6[th] December 2025 



## **Statement of Financial Activities (SOFA)** 

**For the period 22 May 2023 – 31 October 2023** 

## **Incoming Resources (Income)** 

|**Income Source**|**£**|
|---|---|
|Teesside Golf Club Donation (27 July)|600.00|
|Linthorpe Coop & St Barnabas Cofee Morning (23 Oct) 177.75||
|St Barnabas Cofee Morning (23 Oct – cash)|40.00|
|Wallace Donation (1 July)|70.00|
|Teesside Golf Club Donation (1 Sept)|240.00|
|Wallace Donation (7 Oct)|60.00|
|Band Member Donations (31 Oct)|40.25|
|Misc. donations (31 Oct)|24.51|
|**Total Incoming Resources**|**1,252.51**|



## **Resources Expended (Expenditure)** 

|**Expenditure Item**|**£**|
|---|---|
|Music stands (22 May)|1,428.00|
|Banners and Music Stands (9 Aug)|593.04|
|Room hire – St Barnabas Church (1 July) 140.00||
|Room hire – St Barnabas Church (7 Oct) 120.00||
|**Total Resources Expended**|**2,281.04**|



## **Net Movement in Funds** 

## **Movement** 

**£** 

Surplus / (Deficit) for the period **(1,028.53)** 

_(Deficit reflects substantial one-off equipment purchases.)_ 



## **Funds Reconciliation** 

**Funds £** Funds brought forward at start of period 0.00 Net movement in funds (1,028.53) **Funds carried forward (1,028.53)** 



Filed successfully on 6 December 2025 at 13..40 GMT
Attachments
Company Tax Return

Uploaded Accounts:
Musical Youth Middlesbrough 22-MAY-2023 to 31-OCT-2023.pdf

I O HM Revenue &Customs
Company Tax Return
CT600 (2024) Version 3
for accountlng perlods startlng on or after 1 Aprll 2015
Your Company Tax Return
If we send the company a'Notice' to deliver a Cornpany Tax Return it has to comply by the filing date or we chsrye a penalty. even rfthere is no
tax to pay.
A return includes a Company Tax Return form, any sUp￿eMentary pages, account8, tompulations and any relevant information. The CT600
Guide tells you how the otum musl be formatted and delivered. It ¢ontains general informatitsn you may need to deliver your ￿tUrn. links to
more detailed 8dvic8 and bDx-by-bDx guidance for this form and the supp18m8ntsry pages.
The forms in th8 CT600 series set out the information wa need and provide a standard format for calculations.
Company information
Company name
MUSICAL YOUTH MIDDLESBROUGH
Company registration number
Tax roler8n¢•
5 3 3 4 4 1 3 4 9 9
Typg of eomp&ny
Northern Ireland (Nl)
Put an'x. in tha appropriats boxl*¥l balow
Nl trading activity
SME
Nl •mployor
Sp8¢lal ¢lr¢um¥tan¢o8
About this return
This is the above company's return for the period
30
from DD MM YYYY
to DD MM Yyfy
2 2 0 5 2 0 2 3
1 0 2 0 2 3
Put an'x. in tha approprrats boxlo81 balow
40
A repayment Is due for thls return perfod
45
Claim or relief affecting an earlier pEriod
50
Making mor8 than ono rotum forthis company now
55
Th1$ return ¢ontaln$ estlmated *gure$
60
Company part of a group that is not small
65
Notice ol disGILssablp avoidarbGe schemes
Transfer PriGing
70
Compen$atlng adlu$tmot)t clalme
75
Company quallfies for SME exemptlon

About this return - continued
AGcount5 and computations
80
l attach accounts and computatlons for the perlod to whlch thls return relates
85
l attach accounts and computations fora dilferent period
If you ar• not attachlng tho accounts and computatlons. say why not
Supplementary page5 enclosed
95
Loans and arrang6ments to p8rtl¢lpators by ¢1080 companlo8- form CT600A
100
Cortrolled foreign companies. foreign pewmanent estsblishment exemptions, hybrid and other mismatches- fotTn
CT600B
105
Group and consortlum-form CT60(
lnsurance.form CT600D
Chaiili88 and CommunityAmatour Sport8 Club8 ICASC81- form CT600E
120
TonnAgè Tox-form CT600F
125
Northern Ireland. form CT600C
Cro¥8.border Royalties. form CT600H
135
Supplomot)tsry ¢hargo In ro8po¢t of rlng fon¢• trades- form CT6001
140
Disclosure of Tax Avoldanee Schemes- form CT600J
Restitution Tax. form CT600K
142
R880ar¢h and D8velopmant- form CTeODL
143
Froeports and Inv8$tmont Zono$- form CTfjOOM
144
Resldential Property DeveloperTax IRPDTI-forTn CT600N
Creative Indu8trio$-form CT600P
Tax calculation
Turnover
145
Total turnoverfrom trade
150
Banks. bulldlng soel•tl•s, Insuranc• companles and othorflnanclal eoneèms-
pul an'x, In this Mx if you do not have a recognised turnover and have not made an entry in box 145
Income
Trading profit8
QJllllllllllt]L]lll
160
Tradlng loss•s brought forward sÈt agalnst tradlng profft5
165
Net trading proffts. 155 minus box 160

Income - continued
Bank, building 50Giety or other intere51 and profits from non.
tradirbg loan relationships
qo
Put an'x. In box 172 If the flgure box 170 Is net ol ¢arrylng ba¢k o dofl¢lt from a 1ot8r a¢¢ountlng porlod
175
Annual paymtrnts not othorwS80 ¢harged to CorporatSon Tax and
from svhi¢h Inwm8 Tax has 110¢ boon doductod
QllE]E]QE]E]E]E]QE]I
180
Non*xempt dividends ordistributions from non-UK resident
companies
1B5
Income from which Income Tax has been deducted
190
Incoma from a property busin0$8
195
Non-tradlng galns on Intanglblo flxed as88t8
200
Tonnage Tax profit5
20$
Income not falling under any other heading
Chargeable gains
Gro88 ch8rgo¥ble galn8
Allowable losses including losse5 brought forward
220
Net charyeable gains. tM)x 210 tninU5 box 215
Profits before deductions and reliefs
225
Lo$88s broughtfonvard ag¥ln$t ¢ortaln Invo$im8nt Incomo
230
Non-trade defiGit8 on loan relationships (including irtterestl and
erivativg contracts lfinancial instruments) brought forwaTd set
against norb4rading profit8
23S
Profits bèfore other deductions and relièf8- ntt sum of box88 165 10
205 and 220 minus sum of boxes 225 and 230
Deductions and reliefs
240
Losses on unquoted shares
).45
Managamont èxptrn$è8
250
UK property buslnes5 losses forthls or prevlous accountlng perlod
255
Capiial allowan¢e5 forthe purposes ol management olthe business
260
Non-tradg d￿￿eltS forthls accountlng from loan r•latlonshlps
and derIVa￿Ve con¢raets lflnanelal Instruments)
263
Carrled forward non-trade dellclts Irom loan relatlonshlps and
derivative contracts Ifinancial instruments)

Deductions and reliefs - continued
265
Mon-tradlng 1055es on Intanglble flxed assets
275
Total trading1055es of this ora lateraccounting period
280
Put an'x. In box 280 If amoun¢$ ¢orrfed back from later accountlng
p•rlods ar• Includèd In box 275
?.85
Tradlni 1088*8 ¢arrf•d fotward and ¢lalmod agaln8t total
290
Non-lrado capltsl 4llowan¢o8
295
Total of deductions and reliets-
ioial of boHtr$ 240 10 275, 285 and 290
30D
Profits before qualifying donations and group rglief -
bDX 235 minus box 295
305
Quallfying donatlons
Group wli8f
312
Group rollof for ¢arrl8d foN4rd108S$8
31$
Profits chargeable to Corporati¢Jn Tax-
bDX 300 minus boxes 305, 310 and 312
320
Ring fence profits included
325
Northern Ireland profits included
Tax calculation
Number of as$oclated ¢ompanle$ In th[$ perlod
Number of as$o¢lated ¢ompanlo$ In the flrst flnon¢lal yoar
328
Nurn￿r of associated companies in the second financial year
Put 8n'X' In box 329 If the ¢ompany18 chargoablo at tho small profit rats or Is 8nllll8(J to
marglnal r0118f
Enter how much profit has to be charged and at what rate
Financial
velr1)￿
Rate of tax
Amount olprofit
Tax
330
2023
335
340
0.19
345
350
355
360
365
370
375
380
385
390
395
41X)
405
410
420
425

Tax calculation - continued
CorpDration Tax lolal of boxes 345, 360, 375, 395, 410 and 425
o o o
Marglnal r•ll8f
43b
illllt]lllllllllllllll
o o o
Corporatlon Tax ¢h¥rgo8bl8 box 430 mlnu$ box 435
o o o
Reliefs and deductions in terms of tax
44$
Community Investment Tax Relief
10
oi]t]llllllllt]llllllP ryo
450
Doublo taxation rèliof
455
Put an'x. in box 455 if box 450 includes an underfying Rate relief
claim
460
Put an'x. in box 460 if box 450 includes an amount carried back
from a later period
Ad¥an¢o Corporation Tax
470
Total reliefs and deduction in terms ol tax-
total of boxes 445. 450 and 485
Coronavirus support schemes and overpayments (see CT600 guide for definitions)
471
Coronavirus Job Retention SGheme ICJRSI Received
10
472
CJRS Entitlernent
473
CJRS overpayment already assessed or voluntary dl$¢losed
oooollllt]t]t]lloi io
io
474
Other coronavlvus overpayments

Energy profits levy
Eneryy1011 and Gas) Profits Levy IEOGPLI amounts Ilable
Electricity Generator Levy IEGLI exceptional generation rgceipts
Calculation of tax outstanding or overpaid
475
N8t Corporatlon Tax Ilablllty- box 440 minus boK470
o o o
,180
Tox ￿yable on loan$ and arrangomonts to paruclpotors
io
185
Put an'x. in box 485 if you completod box A70 in the supplomentary
payo5 CTeooA
490
Controlled Foreign Companies ICFCI tax payable
10
io
qo
10
49S
Bank Iw payable
,196
Bank surchargè payablo
497
Resldentlal Property DevelopÈrTax IRPDTI payable
CFC tsx, banklovy, b•nk sU￿harge and RPDT payablo
lal of boxe$ 490, 495, 496 and 497
EOGPL payaljle
io
ollt]llllllllt]t]lllli ill
qo
EGL payable
Supplementary charge lrfng fence trades) payable
Tax ¢har9oablo- total of box8s 475. 480, 500. 501. 502 and 505
o o o
Incoma Tax daductod Irom gro88 In¢ome In¢lud8d It) profit8
Income Tax repayable to the Company
Solf-asse$sm•nt of tsx payablo Wore r8$titubon tsx 8nd
coronavirus sUPPOrt schetnq overpayments
box 510 minu$ box 515
o o o
26
Coronavlru8 8UPPOrt 8¢homtr$ ovtrpaymant now dut
ioial of boxes 471 and 474 minus boxes 472 and 473
o o o
Restitution tax
10
io
Self-assessment of tsx payable- total 0f￿MeS $25, S26 and $27

Tax reconciliation
530 Research and Development credlt
qo
10
(not currently usedl
540 Cr8atlVO8 tsx credit
541 Audio.W15ual expenditure credit IAVECI and Wideo
Games expenditijre credit IVGECI
10
10
Total of Research and Development crediL creative5 tax Credit and
AVECIVGEC. total t￿X $30 10 541
550 Land remedlatlon tax credlt
llllllt]t]t]llllry
555 Life assurance company tax credit
10
io
qo
10
10
Total land rom0dl￿on an(J Ilfo a$8uran¢o company tax cred6t
total box 550 and 555
Capital allowan¢*s first-yaar tax trèdit
Surplus Research and Development credits and creatives tax credit
payable. box $45 minus box $25
Land remediation or life assurance cornpany tax credit payable.
total of boxes $45 and 560 minus boxes 525 and 570
Capltal allowan¢o8 fir8t-y8ar lax ¢r8dlt p•yabl8- boxes 545, 560 and
565 minus boxes 525. 570 and 575
Ring fon¢8 Con)oration Tax included
86
Nl Corporatlon Tax Indud8d
10
qo
Ring fence supplementary charge included
Tax already paid land not already repaid)
600
Tax outstandlng
- box 525 minus boxes Y5, 560, 565 and 595
o o o
605
Tax overpaid including surplus or payable credits
- total sum of Mxes 545. 560. 565 and 595 minus 525
o o o
610
Group tax r8fund8 8utyondor8d to this company
io
10
1114
AUdiO.￿Sual expenditure Credit and Video Games exp2nditure
credit surrendered to this cornpany
61S
Research and Development exppnditure credits surrendered to this
company

Indicators and information
G20
Franked Investment IncomelExemptABGH dlstrlbutlons
25
Number of 51% group companles
Put an'x. in the relevant boxes, IF in the period, the company..
30
should have made (whether it has or notl in5talment payments as a large company underthe Corporation Tax
Ilnstalment Paymentsl Regulations
should havtr madè (whethèr it has or not) instsimènt paymènts as a lary company undtrr thè Corporation
Tax Ilnstalment Paymentsl Regulations
35
Is w6th1n a group pAymènts arr&ngèm•nt for thg ￿rtod
has written down or sold intangible assets
645
has made cross4J¢Jrder Toyalty payrnpr
im7
Eat Out to Help Out Scheme.. reimbursed discounts included as
taxable income
Information about enhanced expenditure
Research and Development (R&D) or creatives enhanced expenditure and tax reliefs
50
Put an'x, In box 650 If the Clalm 1$ mado by a 8m811 or modlum-8Izod entorprl88 ISMEI. In¢ludlng a SME
$ubtontra¢torto a large company
653
Put an'x. in box 653 if the claim is made by an R&D intensive SME
55
Put an'x. In box 655 If th• elalm Is madè by h lary8 company
656
Put an'x. In box 656 to conflrni that a R&D clalm notlflcatlon form has been submltted
Put an'x, in box 657 to ¢onfimi that an R&D additional information fomi has bpBn submittgd
658
Put an'x, In box 658 to ¢ot)firm ihat a Cr8atlvo8 addltlonal Informatlon fomi has boon Submlltod
59
R&D expenditure qualifying for SMEIR&D intensive SME relief
660 R&D enhanced expenditure
663 Cr8atlvo8 coro 8xpondlturo
665 Croatlws addltlonal doductlon
670
R&D onhan¢8d oxptrndltu¥o and ¢roatlv88 addftlonal d8dudlon
ioial box 660 and 665
675
R&D onhancad 8xp•ndituro of a SME ot) work 8ub¢ontra¢tad to it by
a largo ¢ompany
Vaccine research expendiiure
Land remediation enhanced expenditure

Enterthe total enhanced expenditure

Information about capital allowances and balancing charges
Allowances and charges in calculation of trading profits and losses
Capital allowan¢a8
Balancing ¢harga8
Annual Invosiment
allDwanco
illt]llllllllllt]t]t]ll
Full expensing
Machlnery and plant-
super41eduction
692
Machinery and plant.
Speclal rate allowance
Machinery and plant-
special rate pool
700
Machinery and plant.
main pool
705
Stnjctures and
buildings
Busln•ss prèmls•s
renovatlon
Otherallowance5 and
char￿S
720
730
Capltal allowancgs
Disposal valu•
Electric vehicle charge-
polnts
Entsrpri80 zones
illt]llllllllllt]t]t]ll
722
lllllllllllllllllllll
Zero-emission goods
vehicles
724
zer￿eMISSIon cars
726
727
Allowances and charges not included in calculation of trading profits and losses
C8pltal allow¥n¢os
Balanclng ¢hargos
Annual Inve8tm8nt
allowan¢8
735
stw¢tur88 and
buildinys
736
Full expensing
733
734
Buslness premlses
renovatlon
740
745
Machinery and plAnt-
super41eductlon
741
742
Ma¢hlnery an(J plant-
special rate Allowance
743
744

Otherallowances and
charg•s
750
7D5

Allowances and charges not included in calculation of trading profits and losses-continued
Capital allowances
Di5P05al value
Electric vehicle charge-
points
737
738
Entsrprlso zones
746
747
Zer¢Mmi88ion goods
vehicles
748
74Q
Zermmission cars
Qualifying expenditure
Ibo
Machinery and plant on which fir6t year allowance is claimed
D88lgn8tod envlronm8ntallyfrl8ndly ma¢hlnory and plant
Machlnery and plant on long-life assets and Intggral 18aturos
Structures and building5
772
Machinery and plant. Super￿eduCtion
Machlnery 8nd plant- $peclal rate allowance
othor mAchln•ry and plant

Losses, deficits and excess amounts
Amount arising
Amount
Maximum availabl8 for 8urrondor as group r81iof
Lo$$o8 of trad
Carr1￿ on viholly or
partly in tht LIK
780
785
Lo$se$ of trades
carrlÉd on viholly
out8id• tho UK
790
Non-trado d&fl¢lts on
loan rèlatlon$hlps and
d811vati￿ contracts
K9b
BGO
UK property bu$lno$s
I￿8&$
8i'
illt]llt]t]llllllt]t]ll
illllllllt]t]llllllll
Ovor8888 prop•rty
bu$St)oss10880S
Lo8808 from
ml¥¢oll8noou8
tran8a¢tlon8
820
Capital 105ses
Non-tradlng losses on
intangible fixed assets
8,30
835
Excess amounts
Amount
Maxlmum ovall&blo for suThender 05 group roll•t
Non-trade capital
allowances
840
JLILILILILILILILILlll
QuallfySng donatlon$
645
Management expenses
8,SQ
855
Northern Ireland information
d56
Amount of group rellef claimed whlch relates to Nl tradlnglosses
used against rest of UKlmainstream profits
857
Amount of group relief claimed which relates to Nl trading1055es
used against Nl trading profits
858
Amount of group relief claimed which ￿lateS to rest of
UKlmainstream losses used against Nl trading profit5

Overpayments and repayments
Small repayments
Do not repay sums of
or less.
Read the overpayments and repayments sectlon of the Company Tax Return Gulde forspeclNc 9uldance on when and how to make an
entry in this box.
Repayments for the period covered by this return
B65 R8paymont of Corporatlon Tax
870 Repayment of Income Tax
10
10
qo
io
875 Payable Research and Developrnenttsx credit
880 Payabio Ro8oarch and Dovolopmont oxpondlture crodlt
885 Payabb ¢roatlvo8 tax ¢rodlt
B86 Payable Audio-visual expenditure crBdit and
Video G¥tnes oxpenditurq Credit
8W Payable land rernediation or life assurance company tax credit
10
io
B95 Payable capital allowances firstyeartax credit
Surrender of tax refund within group
Including surrender5 underthe Instalment Payment5 Regulation5.
Th$ followlng amount 1$ to be surrond$rod
ollllllllllllt]t]llllu
Put an'x, In th8 approprfats boxles) balow
the joint Notice is attached
905
or
910
915 Please stop repayment ofthe followlng amount untll we send you
the Notlce

Bank details (for person to whom a repayment is to be made)
920 Namo of bank or bulldlng $o¢l•ty
National Westminster
Branch sort Codo
5 1 6 1 3 3
930
Account number
7 4 2 2 6 3 5 5
Name of account
Musical Youth Middlesbrough
Bulldlng soclety reference
QLILILIULILILILILIO-------
7 4 2 2 6 3 5 5
Payments to a person other than the company
943 Put an'x. In box 943 ifth8r• is a R&0 payable ¢r8dit and ¢)n• ofth• ¢ondition8 listed in th8
CT600 Guld8 1$ appll¢8blo
945 Complete tho alrthorliy b8low11 you want the ropaym•t)tto be mado to a pe￿on other ihat) tho Company
as lenler $tsius- ¢ompany secrekry. treasurer. I14Jid*lor or ¥Jlhori$ed agent. el¢)
950 of18n18r company namel
athorf$8 (enter namel
of addro88 lenler addr$ssl
Nomlnoo rofgron¢s
to roc8lV• P8ym8nt on company'8 b8haW
970 Nam
Declaration
Declaration
I declare that the Informati￿ I have given this Cornpany Tax Return and any sUp￿ementary pages is correct and complete to the best of rny
knowledge and belief.
l understarbd Ihat giving fals8 infomialion in Ihe retum, or Concealing any part of the company s profits or tax payatAe, lead to tM)Ih the company
and m8 being prDseGuted.
975 Name
J T Bentham
980 Dat• DD Yvrfy
2 0 2 5
985 Statu5

Trustee

I O HM Revenue &Customs
Company Tax Return -
supplementary page
Charities and Community Amateur Sports Clubs (CASCS)
CT600E120151 Vèrsion 3 for accounting ￿riodS starting on or aftèr 1 April 2015
Guidance
GuidanGe about when and how lo Gomplete this supplementsry page can be found in the CT600 Guide.
Forfurther information read What supplementsry pages do I need lo cornplete and indude as part of the Company Tax Retum? to find out what
supplemèniary pages you need lo COM￿et￿.
Also, read the Importanl points 8boul all supplementary page8 and CT600E- Charili88 and Community Amateur Sports Clubs ICASC81 for
further guidance aboul cotnpleling this supplementary page.
Company information
E1 coM￿nY name
Inam8 of Charity orCASCI
MUSICAL YOUTH MIDDLESBROUGH
E2 Tax relerence
5 3 3 4 4 1 3 4 9 9
Porlod cov0￿d by Ihls supplomontary pago1¢8nnot 8x¢o8d 12 month81
E3 from DD MM V¢YY
2 0 2 3
E4 to DD MM YYYY
2 0 2 3
Claims to exemption (this section should be completed in all cases)
¢harltyl¢AS¢ repayment reference
ES Z021150
Charity Commission registration number, or OSCR number lil
applicablel
E10 1203184
Put an'x, in the relevant box IF during the period covered by these supplementary pages..
Th• company was a chArltylCASC and Is elalrning E15 èxomptlon
from all tax on all or part ol It$ In¢omo and galns (Also an'x. In
box E15 if the company was 8 ¢harllylCASC bul had no income or galns
the period)
E15 X
All In¢omo and galns aro oxemplfrom tax and havo b8on, or wlll bo,
¥ppll8d for charftable or quoltylng purpws only
E20 X
Some of the Income and galns may nol be exempl or have not boen
appllèd for charftablé or qualtylng purposgs only, I havg
¢ompl8ttd form CT600
E25
l ¢lalm 8x&mptlon from tax
Mame
E30 Joshua Bentharn
Statu¥
E35 Trustee
Datè DD
E40 0 6
2 0 2 5

Repayments
To make a repayment claim for the p2riod covered by these supplementary page5, please register and enrol to U5ethe Charities Online
sprvice. See CT600 guide forfurther irbforrrb*ion
Put an'x. In th8 box If durfng the porlod covored ty the88 supplementary pago8 you havo ovor¢lalm8d tsx
E45
Information required
Entyr det811$ of any It)¢omo roco1¥8d tr4)m th8 followlng $our¢88, ¢lalm8d 88 oxempt from tsx It) th• hanLts of tho ¢hatltylCASC. Et)tsrtho
flgure Sncludod In th8 Charv￿cASC's a¢¢ount8 fortho porfod ¢ovor8d by th1$ retum.
Not)4xompt amounts should bo ont8red on fomi CT600 In iho approprl8t• box•s.
TY￿ of income
Amourit
Entertotal tumover from exempt charitabletrading activities
Invostmont intomtr- 6x¢ludtr any amounts includod on fomi CT600 E
UK land and buildings- •xclud• any amounts includod OTh form
CT600
Gift Aid-excluda any amounts in¢lud6d on form CTeoo
I ,.ot]iollooot]t]I
From other charities- exclude any amourts included on form
CT600
E70
9 9 0
Glfts of shar•s or s•eurltl•s r•c8lvod
E75
Gifts of real property received
Other sources Inot included above)
E85
2 6 2
Total of boxos E50 to E85
1 2 5 2
Enterdetails of expenditure a$ shown in the charity'51CASC'5 accounts for the ppriod covered by these supplementary page5
Type of expenditure
Amount
Tradlng costs In relatlon to exempt charltable actlvitie5 Iln box e501 E95
ollllllllllt]t]t]lllli
UK land and building5 Costs in relation to exetnpt charitable
a¢iiviliè8 lin box E601
E1
All general administrationlgovernance costs
E105
All grants and donation5 made within the UK E
All yrant8 and donation8 mad* out8ido tha
E115
ot]o]llllllt]OnNI
Other expenditure not included above, or not used in calculating
flgures entered on theforni CT600
E120
2 2 8 1
Total of box•s E95 to E120
E125
2 2 8 1

Information required
CharitylCASC a5set5
Disposals in period
(total consideration receivedl
Held atthe end of the period
(use accounts ffiguresl
Tanglblo fix8d a880ts E130
JLILILILIL]QQQT-
E135
LILILILIQQF----
1 4 2 8
UK investments
lex¢ludin9 controlled E140
companiesl
E145
Shares in, and loans
to, controlled
companies
E150
iooooot]t]oi
E1
r80a8 Invostm8nts E16
E165
Loans and non-trado dAbtoYs
E170
Other current a55et5
E175
Qualltylng Inv•stm8nts And loans
Applies to ¢h*rities only. S&8 CT600 Guida
E180
Value ol any non*uallfylng Invtrstments and loan8
Appllts to ¢h*rititrs only. Seè CT600 Guida
E185
Numbor of 8ubsidiary or a880¢iatad ¢ompani&s the charity E190 Control8 at tho
ond of the perlod. Ex¢lud8 ¢ompanle8 that were domiant throughout the perlod
E190 0