Charlty reglstrntlon number. 1204758
CITY OF MANCHESTER GYMNASTICS
TRUSTEES, REPORT AND
UNAUDITED FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Axiom &JslnÈyJ Consultanry Umlted
charte￿ CertMe6 Accountan
Mgnt9oldrttm Farrn
Arbuthnott
Lauren¢ekl¥k
Aberdeen$hlrè
AB30 ILS

Clty of Man¢he8ter Gymna•tlcs
Content$
Pa
Trv5tees' Report
Independent Exèrhlnevs Reptsrt
staternent of ￿nancIal A¢tlvltrJ¢y
Statement of Flnjnclal Po$ltlon
ststement ol Cash Flows
Notes to the Statement of CBsh Nows
Notes to the Flnancl81 Ststernents
8-11
The followlnB pages d¢ not forrn portofthe 5tstutory xcounts:
Detalled Stètemen¢ ol Flnjficlal ACt￿ltI￿P
12-13

CITY OF MANCHESTER GYMNASTICS
TRUSTEE REPORT
FOR THK YEAR ENDING MARCH 2025
Legal StAtus Purpose
City of Mancliesl¢r Gymnastl¢S is a Charitable Incorporated Organisfition (CIO) and r¢ceiYed tharitable statu8 on
the 18di
of Septemb¢r2023. The organisalion's purpose$ are..
the promotion of wtnmunily PArlicipation iii healthy re¢reation forthe benefit of those within tlie greater
Manchester area by the provision of fa¢ilities for parti¢ipalinL> in the sport of 8ymnastics at all levels
Objectlves
City of M8n¢li¢slcr GymnAstlC5 aims to b¢ r¢eognised as the leading provlder of gymnastics irt the M8n¢hesteT
reaAndto make A Positive impacton the lo¢al COlDiftiinity. The Board beliovesthattaught well, sport andphysical
edu¢Ation develop qualities such os 5ele-esteein. lead¢rsliip atLd teamwork, mAkittg sport ft fowe for good. City of
Manchester Gymnastics looks lo provide opportunities that enrich the lives of those involved, liaving a positive
impact on in¢mber$ long After their training has coine to 011 end, and to encourage lifelong involvement in the
sport whether as participanis. coaehgs. or O￿le101S.
Governance and Mallagement
The chfirity is governed by ils constitution and is managed by H Board of Th]slees, all of ivhom have Irlev8nt
managerial, business and financial experience. The Bo&rd is responsible for the straiegic dlrection of th¢ Charity
and oversg¢s all its financial dealings.None of the Trustee5 are remunerated in respect of their position as Trustee.
Trustee Report
In the lasi 12 monihs the elub has provided coached gymnasiics activity lo over 3.000 eliildr¢n. Thi$ is a ¢estam¢nt
to the vital octiyiiles the charity pmvides to tlie local ￿MMUnIty. Ivrek in week out.
Ou¥ gymnasts are offered opportunilies (o take part in competitlons con)men5urat¢ to Ilieir level of perfonnanee,
competing at low level floor and vault coinpetitlons to competing internatiothally, r¢prcsenting Great Britain.
Our in.house competitions which are run frequei)tly throughoiit the year it)volve some 600 recreational gymnAgts
and their families. The club's br$poke recreational award progression systein conilnu¢5 as the bAckbDn¢ of Ihe
recreational development programme as well 8S Providing Additional inconie to the club.
Whilst th¢ch4riiy commen¢¢d oper4Lions just over 8yearago, Its roots stem from the Centrdl Manchester lrtstitute
of Gyinn8stics whlch h¢ld its 501h Anniversary Celebration in Januory 2025, bringing together over 250 past ond
current meLMbers along with s¢veral dlgnitaries from th¢ sport to receive awaTds and I'eminis¢¢ about their
involv¢ment wilh the club. We hDve a long aDd estimllble TeCOTd as a sports provider. which is a testBn)eTht to the
clubs, founder Colin Leigh, whose di$iingui5hed servlce to thc sport of gymi)astiCS spans over 6 d￿ddes,
The chariiy proudly boasts 7 Hi8h Performance coo¢h¢s in Its ¢oaching leam of 20 qualified coach¢5. We have
23 volunteer helpers. 9 qualified officials, 3 of iyhoin are international brevei Judges and l Brit15h Gymn85tlcs'
apprentice. W¢ work with sevtrfyl schools provlding work expeTi¢)nce opportunities for a number of local Sludertts
(3 in the current reportingyear).
The chariiy provides gymnastics training for young memb¢TS of Manchesler City fooiball Club,
dev¢lopm¢ni progr￿￿1￿¢ ID addition to therapeutic preschool gymnosti¢s a¢tlvlry forpr¢5ehool Age bums victims
In pa￿erShIp with NHS Mancli¢stor.
Competitiv¢ Achi¢Yements
At thi5 year's Junior European Cl)ampi0iiships. Evan M¢Phillips was part of GB'S successful Gold winning
team.
Page I

The club competsd iii th¢ Europ¢Trn Gymoa5ti¢s League reforging a frletKtship with Progue Gymt)asti¢$ Club,
the team of Sammy Cotter, Lucas Moryi4 Harry Nicholson and Jack Farrell finishing iolh.
At lh¢ British Grades Finals. Olli¢ Bowen and Thornb5-Tyler Lee helped the Northwest wiii Teain Gold iii the
UTrd¢i' 12 Bob Curricr coinp¢tt¢ion.
Sammy Cotler became ¢he Welsh Jiinior Chllmpion (under 16) and galned a place in the Wetsh National Squad.
At the English Championships CMIG won 5 Gold medals in iotal and there was English squad selection for Joe
'eery, Jed Solomon, Jamiah Rlchllrds-L¢acock.
Evan McPhillip$ became the Englisli Junior Chanipiom taking the All-AroiLnd gold, th¢ gold on fl¢y)r and ihe
gold on rings.
Jamiah Richards•L¢acock took gold on Vault with Mojris taking sold on P bars,
Jack FaiTell took bronze on high bar. Lexi MoTlimer came 6th on Floor, Anabelle Green wa$ 4th on A bars.
At the Northwest Deyelopmenl ￿mpetItioll Sophie J¢iikinson won bronze.
Atth¢ British Champtonships- Lucos Morris won Gold on P bar4 Evan MePhi11Sp5 won 3 silvers. j￿nIah
Richards.Leacock won 2, and Lexi Mortimer succes$fi]IIy qu81ified to the Senior category> Athabelle Green took
silver oh A bar8.
Evan McPhlllip5. Sammy Coiier and Akyru liodgers-Plumber gpiiied Briiish National Junior Squad 5¢1ectioth
Evan Akyra were selecied for Junior EuTopean Championsliips. howeY¢r Akyra unfortunately had io bo
wiihdrnwn due to injury.
Flnant
The ¢hority ha5 8 SIIDng uicome stream its charitoble aellvities and this is applied towards the charity's
objectives. The Trustees Are satisfied that the chArity ¢an mAlntain and grow ils aclivilies.
Futur¢ Pl*ns
Meeliftgs have been carrled out with Manchester City Council towards the reoli5ation of & new, significJThtly
UP8fdded facility within the area of the Goiton community. This is kn recognition of th¢ vltal WOTk that the ¢harity
does in the local coininunity.
MrTN McGill
Thistee
21111125
Page 2

city of Manchester Gymna•tlc$
Xndopondent ExY4mln•r's Report to tho Trust•e* of Clty of Manchester Gymna*tlco
For The Year Endad 31 March 2025
I report to th* trusiee5 ￿ my examlnbtlon al th¢ att•unts of aty ol Manch•5tsr Gymnastics (the Trust) lor the year ended
31 March 2025.
Retyon$lbllltlu •Md ¥i*l• ol Report
A5 the Chprfty trn5tee5 olthe Trusl you are re5ponklble for the preparntlon of th• attounts In aCcOrd•n￿ wkh the
re4ulrements of the ChDrklE5 Art 2011 rthÈ Act'l.
I report In re5PEEe Of my e%èmlnJtlon of the Trust% accounts carrled out ynder 5ecYon 145 of tht 2011 Art 8nd In carrylng
out my ￿amInatIon, I have followed the ?ppll¢able Dlrectlon5 9lven by the Charlty CommlssloTh undersectlon 14515)(b) of
the Act.
Xndopendent IxaMln•rf$ Stat•m•rt
SlrKe the Ilust's qross ID¢ome exceeded £250,01)O your exomlner must be 3 member of • body Il¥ted In seLtlon 145 or the
2011 Act. I ronflrm that I Om quallfted to undertoke the e¥amlnatk>n bECaUSe I am è memberof The Assodatlon of Chart¢red
Cerdfled Accountallts. whlth Is one of the Ilsted bodles.
I have completed my examIn)￿on. I'conftrm thai nts materlal matters have come to my attentton In ujnnèdltsy wlth th•
examlnètlon olvln9 me Cause to belleve thot In any materfal Yespe£t'.
l. ar¢ountlng records were not kept In wpect of the Trust as requlred by sethon 130 of the Att.
2, the uccounts do not accord wlth those Tecord$.' or
3. the arcounts do not cornpiy wlth the appllcable reoulrements conternlng thp forni and contents of accounts set out In
the Charftles (At¢ovnts and Reports) Re9vlètlons 2008 other th4n )ny wulrement th* the accounts glve a true and
ralr vlew, walch Is not a matter consldered as part of an Independent examlnltlon.
4r
I have no corttems and have Come across no other mJtter5 In ¢¢nne£llon wlth the examinauon to Ylhkh aitentlon should be
drawn In thls report In Drder to enable 8 proper understandlng of th• èccounts tts be reache41.
Chrfstopher D03n FCCA
2511112025
Axlom Bu$lne55 Consultancy Llmlted
Chartered Cerufled Accountants
Montgoldrum F8rm
Arbuthnott
Lourehceklrk
Aberdeenshke
AB30 IL5
Page 3

Clty of MancheBter Gymnastl¢8
statement of Flnanclal Actlvltles
For The Year Ended 31 March 2025
31 M•r¢h
2025
JI M•r¢h
2024
Unr•#trirted Unmstrlrted
fund•
fundo
Not•#
INCOME AND ENDOWDIINTS FROM:
Donatlons and le98¢le5
ChJrltJble actlvStl2s'.
Gyfflni$Yc fees
other
61,831
50,005
912,123
5,113
979,067
50,005
EXPENDETURI ON:
Ralslno fund5
Charltable actlvlves,.
Gymnastlc Fee5
15211
(900,6821
19QD.682)
78,385
1521)
49A84
NETINCOME
NET MQVEMENT ZN FUND8
RECONCIUAYXON OF FiINDSI
Totsl fund& bmught forward
TOTAL FUNDS CARRXID IORWAMD
?8,385
49,484
49.484
14
127,869
49,484
The noles pages 7 to 11 lorm part of these flnèthclal st•tements.
Pa9e 4

Clty of Monch•*t•r Gymnagtl¢8
St•t•ment of Fln•n¢lal Posltlon
As At 31 March 2025
31 March 31 M•Mh
30215
2024
Unr•Btrl¢ted
TOtDI
fundB
lund•
PIXED ASSETS
YJngNe A%¢ts
11.019
13.019
CURRENT Assrrs
C￿h at bank and In hpnd
154,333
49,784
IS4,333
49,784
Ct•dltsM: hlMn# Du• Wlthln lkn•Y•¥r
12
(37,t183)
I3￿)
NET CURRHNT ASSETS <IIABIUTJEg)
116,950
49,4B4
TOTAL ASSETS LESS CVRRfNT LIA8IiITXES
127.869
49h84
NET ASSErs
127,869
49,484
VUXDS OF THE CHARiri
Unrestrtcted Funds
127,869
127,869
49,484
TOTAL FUNDS
14
49.4B4
On beh)Ir of the boa
Mr T N MCGIII
2511112025
The notes on pages 7 to 11 form part of these flMn¢L41 statements.
Pag¢ 5

Clty of Manchester Gymnastlc•
statement ol C••h Flows
For The Yejr Ended 31 Ma￿h 2025
31 M•Nh
2025
31 Mlieh
20VI
14ot•A
c•sh flow$ from opernttng 4¢tl¥ltl••
Plet ca¥h oenerjted from opeiatlor
InteTe5t pald
Ilet cash gvneratod frorn opera￿n9 actlvllles
Cash fi•￿ fF•m In¥•sllDg •etlvlUt•
Purthase of tanglble assets
120,310
{2,796)
117,514
49,784
49,784
112,965)
Increase In cash and cjsh equlvaler*s
sh ofid c4sh ¢qU￿BIents at be9lnnlng of ￿Or
Cath and ush equlv4lents 8t end of year
104,549
49,784
49,784
154,333
49,784
Page 6

Clty of Manchest*r Gymna*tlcB
Not¢s to the Ststement of Cash Flows
For The Yéar Ended 31 March 2025
l. Rwonclllltlon ollnume to E••h oworated from tsp•r4tlon•
31
2025
31 M)rch
2024
Net Inrome
AdJustm•nts For..
Intsre5t expen%e
Depredbtlon of tanglble as5tts
Movements In worklng capltal..
Increase In trade and other (rtdltQTS
78,385
49.484
2,796
1,946
37,183
300
Net Cagh generated from operntlons
120,310
49,784
2. C•sh a•h •qulv•l•nl•
Cash and cash equlvalent&, as stated In the Statement olcash flows. relates to the followlrtg Items In the Balante Sh¢et:
31 M•rch
31 H•rch
1025
2014
Cash at and In hand
154,333
49,784
3. Anal￿1* of lff n•tfund&
As •t l Aprll Cn•h flaw•
2014
A••t31
Mar¢h 2025
Cash at bank and In hBnd
49,7ts4
104,549
154,333
P49¢ 7

Clty of Manchert¢r Gymna6tlc¥
Note• to th• Financlal Stat¢mtnt•
For The Y•ar Ended 31 Mareh 2025
l. Gen•ral Informatlon
city vf M¥nchester Gymnastlts Ls è charltsble Incoworat2d organlsatlon reglstered wlth the Charlty Comfftlssk)n, reglskred
charlly nurnbor 1204750. ThÈ prfnGlpal address * Garratt Way* Monchester, M18 8HE.
2. Ac¢ourtt5ng PolleloFS
2.1. 03s1s of Preparatlon of Flntsttd*l Stat•m•nts
The flnanclal siatèments have been prepbred In accordan￿ wlth the Charltles SORP IFRS 1021 'Accountlng and
Reportlny by Charlt1es-. StatemeTrt of Recommended Pia£tlce appll<ible to charltles prepailng thelr Jw>unts In
eccordance wlth the Flnanclal Reportlng Standard 8ppllcèble In the UK and RÈpublle oFlreland IFRS 1021 leffectlve I
JJnuJry 20191. Flnanclal ReportJrYJ Standard 102 Yhe F5nan¢lal Reportlng Standafd appll¢ablÈ In thè UK and Republlc
of Ireland" Ènd the Charltles Ad 2011.
The charty Is a fvJbll£ BeneNt Entity as deflTred by FRS ID2.
2.2. Incomlng Resvurces
These are Included In the staternent of Flnanclal ActnilUes1SpFAI when.,
the charlty becomos Èntitled lo the resour￿,
It Is More likely than oot that the trustees wlll ieceSve the resource5; and
the mon#tary value can be measured wlth sufftclent rellab115ty.
2.3. Rellourcex Expehded
Uabllitles are recogn15etS whore It Is mDre Ilkely than not that *hÈre Is A legal or constnjcilve obll9atlon cNDmlttlny thB
tharfty to pay out restsurces th2 amount of the obllgatlDn can be measured wlth reasonable ￿rtaInty.
2,4. Tanglble Flxed A¥s•ts and Depre£latlotrs
Thnolble flxed ès5eis are measured at ¢ClSf less accumulated dePr￿latIon èDd any actumulated Impolrment losse5.
Dtpreclmtlon Is provlded at mtes £Jlculated to wrtte off the cost t>f the flxed assets, less thelr e$tlmated reslduBI value,
over thelr expected useful Ilve5 on the followlng ba5es.'
Plant & Machlnery
IS% stralght Illl
2,5, Cash and Cash Equlv•lents
Cash and cash eqvlvalents are baslc flnaTrclal assets and liiclude cash In hand ènd dep051ts held at coll wifh bonk5,
other shori-temi hlghly I￿Uld Investments that mature In no rnore than three months from the date of acqulsltlon and
are readlly convtrknble to a known arnount of rash wlth Inslgnfft£ant rlsk of change In valuet and bènk overdralts.
3. Xncoma from bonaiions Eénd Legaelej
31 Mjvch
31 M)rth
2025
2024
Unre8trFrted Unr*$trlrt•d
funds
fuThd•
Donatlon5 aod gvts:
Donutkns •ntt 91fts
61,831
50,005
4, Qth•r Ihc•mg
31 March
2025
31 Mtbrc
2024
Unmitrlthd Unr¢8trlct•d
nd•
fund•
Hlre of equlprnert
Grant
OEhtT In¢0n
4,460
450
203
5,113
Pa9e 8

Clty of Manchester Gymnastl¢#
Not•$ to the Fln•nclal Statements (eontlnued)
For The Year Ended 31 M)r¢h 2025
5. N•1 Incom•l(Exp•ndltur•)
The net Income ts st•t¢d after chargln911credltlng):
31 M•r<h
202
31 M•rth
2024
Operntlng lease renrals
D¢pred#tlon of t•Dglble fftxed B5sets- owned
2,796
1,946
6, Anily61$ •1 Exp•ndlturn
31 M•r¢h
2025
A¢ilvltl••
undertak•n
dIr￿Y
Support
(lee nrte 7)
Totsl
721,367
179.315
900,682
GymnasY¢ fo+$
31 M•r¢h
2024
8upport
¢0
Is¢e note 7)
521
Ilalslng fvnds
7, Support ¢o•ts
3X MDrch
2023
GymD•511c
f•¢•
12.405
138.402
28,508
179,315
Employee costs
Prernlses exp¢nse5
Genernl admlnlstratlan
JI Marth
ZOa4
tund#
521
GBnErnI admlnlstr3tioii
Pjgt 9

Clty of Manchèster Gymn45tIc*
Noto$ to tho Flnanclal Statem•nts (contlnued)
For The Year Ended 31 Mar¢h 2025
8. Xndep•nd•nt Èx•mlnér'i R•mun•Yatlon
31 March
1025
31 M•rch
2024
Independent examlnautsn of the flnanclal statements
Other assurance seNlce5
Thx advlsory *rvJce5
Other flnancll servkes
1,500
300
1,5QO
300
9. Staff CoBts
Staff costs ¥vere as f¢llow5',
31 MoY¢h
102Y
31 March
2024
Waye5 and sèlarles
Other ptnslon COSLS
393,762
22,079
415,841
No employee5 rece￿ed employee b￿tfits (excludlng employer pen$lon c05ts1 for the reportlng perlod ol mDre than £60,000.
10. A¥•rag• Numb•r 41f Employe
Avernge number of employees durlng the year w45.. 1812024: NIL)
11, Thnglbl• AF¥•t
Pl¥nt
MJchln#ry
Colt
As at l Aprll 2024
Addltlons
12,965
As at 31 March 2025
12.965
Depreclayon
As at l ApTII 2024
Provldcd durlng the perlod
As at 31 Nar¢h 2025
1,946
1.946
N•t Btsok Value
A5 at 31 Mèrch 2025
11,019
A$ at l ApTII 2024
Page 10

Clty of ManGhester Gymna#tlcs
Not•s to tho Financial Statemonto (contlny•d)
For The Year Ended 31 March 2025
12. Cr•dl¢oM: Am¢unts F•lllng Dua Wlthln On• Y••r
31 Mar¢h
2025
31 M•rch
2014
Qthtr credltors
Taxatlon and s*Klal S￿rIty
Ac¢nJals and deferred Income
2,383
7,781
27,319
37,483
300
300
13. Penslon Commltmes5ts
The tharlty operate6 a defined contrlbytlon penslon seherne. The assets of the scheme Jre held separètety from Ih05e of the
chartw In an Independently adtnlnlstered funtl.
Durlng the y¢ar the chJTge to the statement offlnanclal actlvldes In respect of defthed contrfbuUoTr schemes wa5 £22,079
12024: ÉO).
At the statemert of financkl posIt￿n dale contrlbutlons of £NIL were dLE to the fund are Included In rredltors.
14. Mo¥ement In Vund#
Is 8t l Aprll
2024
AJ•t31
Expgndltsr• M•rch 1025
u*tre*trl¢tsd fund$
GeneRI..
General unre5til¢ted fund
49,484
979,067
1900,682)
L27,869
Totsl funl$
49,484
979,067
{900,682}
127,869
A#•tIB
September
2033
A•bt31
•xpqndlwM Mpr(h 2024
Incom•
Unr•rtrlctsd fund•
Gitwral..
G￿ra1 unrestrfcted fvnd
50,OOS
(521}
49,484
T•tsl lund#
50,005
(521)
49,484
IS, wlih Trurt￿
None of the trustees recdved any remuneY4Uon or any other benefltg from an empl¢yment wlth the charlty or a rÈlated e#t
durfng the current or prtvlous year,
No tNstee expenses haye been Incutted.
16. Relknted Party DIKIotsur•8
There h&vE beeft no Tekled party trans9￿On$ In the reportlng perfod that requl¥e dlsclosvre.
page 11

Clty of Manchester Gymna$tlcs
Detalled Statement of Flnan¢lal Actlvltle•
For The Year Ended 31 March 2025
31
20>S
31 Marth
2024
Total
funds
Tot•1
fund$
INCOME AND ÈtIDOWMENTS FROM:
Donatltsno and l•ytle•
Donatlpns and glfts
61,831
50,Q05
61,831
50,005
Charltsblo ArtlvJtleB:
Gymmastlc
Sole of gopds or se￿1￿5
9J2,123
912,123
other
Hlre of Equlpment
Grant
other Income
4,460
45Q
203
5,113
979,067
50,005
EXPENDITIIRE ON".
Rth151thg futtds
Independent examlner'5 fees
Sundry expen5e5
1300)
1221)
{5211
Ch•rltable Atl1¥￿0&.
Oymnb#lc fe*¥
Award scheme
rltlsh Gymnastlrs fee5
Cafe purEhB5es
Competluon fee$
Trdlning klt
Coachlno paymeThts
Wages and salarles
Employers penslon¥- de14ned COnt￿bUtIOn schemes
Depre£ltytltrt)
Operdtlng leases
Staff trblnlng
Travel ènd subslstcllc¢ expen5e5
Rent
Vehtd¢ Insurnnce tosb
Computor Ènd IT con5umBbles
Centre supplles and COnSUMaUes
Rep3lrs, renewals and malntenance
Prfntlng, postage and statlonery
Advertlslng and mark£tlTrg tost5
TÈlecotnffjunlcatlons
Independenl examlner'8 fees
LE9al foe5
14,299)
(44,985)
16,510)
14,467)
111,220)
1229.3031
1393,762}
122,079)
11,9461
12,7961
1241
(J2,38XI
IL38,402}
11081
11,682}
11,122)
11,6291
(J.3491
11.638)
{1,351)
(1,500)
11,4711
,.CONTINueD
Page 12

Clty of M•nch•Jhr Gymnastlrs
Dets11￿ Stat•ment of Flnanclal A¢tlvltlas (contlnued)
ForThe Year Ended 31 March 2025
Sub5tt1ptlon5
Sundry expenses
(886)
(15.7721
(900,6821
{900,68ZI
152LI
IIRT XtICOMI
78,3NS
49,484
Page 13