Charity Regsstration No. 221309
THE BRADSHAW GASS TRUST
TRUSTEES, REPORT
AND UNAUDITED ACCOUNTS
FOR THE YEAR ENDED 3 JULY 2025

THE BRADSHAW GASS TRUST
LEGAL AND ADMINISTRATIVE INFORMATION
Trustees
David John Clarke
David Michael Gibson
David John Hamer
Chrislopherwafren Haywood
Michael Henry Haywood
Mark Lawrence Head
Julian Dawd Shepherd
Chaim)an
David Michael Gibson
Testator
John Bradshaw Gass Deceased (date of dealh 3 July 19391
Charity Number
221309
AccountantslPrincipal office
Haywood & Co
2. Floor
11A Insbtute Streel
Bolton
BL1 IPZ
Bankers
National Weslminsler Bank PIC
24 Deansgate
Bolton
BL1 1BN
The COIF Charities Deposit Fund
80 Cheapside
London
EC2V 6DZ
Solicitors
Fieldings Porter
Silverwell House
Silverwell Street
Bolton
BL1 1PT
Investmènt advisors
CCLA Inveslmenl hAanagemenl Ltd
Sl Alphage House
2 Fore Street
London
EC2Y 5AQ
Independent examiner
Andrevi Simm FCA
Smith & Goulding Lin7iled
Hamill House
112-116 Chorley New Road
8olton
BL1 4DH

THE BRADSHAW GASS TRUST
CONTENTS
Page
Trustees. report
Independent examinerf5 report
Slalemenl of financial activities
Balance sheet
Notes lo the accounts
7-15

THE BRADSHAW GASS TRUST
TRUSTEES, REPORT
FOR THE YEAR ENDED 3 JUL Y2025
The Truslees present their report and accounls lor Ihe year ended 3 July 2025.
The accounls have been prepared in accordan￿ wilh the accounling policies set out in note 1 to the financial
statements and comply with Ihe Charity's Trust deed. the Charities Acl 2011 and "Accounting and Reporting by
Charilies: Slalemenl ol Recomtnended Praclts￿ applicable to charities preparing Iheir accounts in accordance with
the Financial Reporbng Slandard applicable in the UK and Republic of Ireland IFRS 1021 lefleclive 1 January
20191..
structure. governance and management
On 6 December 2Q06 the Charitable Trusl changed ils name from the John Bradshaw Gass Charilable Trust lo
Bradshaw Gass Trust. The Bradshaw Gass Trust was eslablished under a Tnjsl Deed daleo$ 7 August 1943 for the
benefit of specified charities and to approve grants in specific circumstances set oul under the terms of the Will ol
the late John Bradshaw Gass and the ir)coffle has been distributed in acrA)Idance with Ihe provisions in the Tru51
Oeed.
The Trustees who served during the year were=
David John Clarke
David Michael Gibson
David John Hamer
Christopher Warren Haywood
Michael Henry Haywood
Mark Lawrence Head
Julian Dawd Shepherd
Power to appoint new Trustee5 resls with the continuing Tnjslees under Section 36 Twslee Act 1925. The
Trvslees meet annually lo approve distributions. giant appli¢alions and undertake an annual review ol the
inveslments with the Trustees investment advisors. Valuations ol the investmenls are provided quarterly by the
investment managets logelher with their recommeridalions.
Risk Factors
The Truslees have assessed the major risks lo which the Charity is exposed. and are satisfied that systems are in
place to miligale exposure to the majoi risks. The Charity distribules Ihe income which has been received from
investmenls. The level of grants paid and payments lo ben8fici3ries is dependent on the amount ol investment
in¢ome received.
Related Parties
Mr C W Haywood and Mr M H Haywood are Trustees of Ihe Chafity and partners in Haywood & Co LLP, who are
the accounlanls lo the Tiuslèes. The fees received by Haywocxl & Co LLP in the year ended 3 July 2025 amounted
10 £16,200 and included £64 lor the Clerks salary. Clause 6{il of the Trvsl Deed aulhorises Ihe payment of
profe55ional lees lo Trustees or any partner thereof.
Objectives and activities
The objects of the Charity ale as follows:_
To proiqde annual income lor specified tharities
To pro￿de bursary award5 to individuals connected wilh the prolèssion of arthiteds
To prowde grants to specified organisations
To provide grants for picture works of art or other arlislic work of materials or craflsmanship, and
To arrange and pay lor a Leclure or Lectures on saentrfic, art15tic. literary or mLJsical subjects lo be known 85 the
"Bradshaw Gass Lectures"
Public benefit stat8ment
The Trustees comply with the Charily Commi55ioners guidance on ensuring that they operate for the benefit ol the
public by rnaking grants to other local charities and to individua15 in educAlion who would otherwise suffer financial
hardship.
The Trustees have paid due regard lo guidance issued by the Charity Commission in ￿latIon lo acti￿￿eS for Ihe
public benefit in deciding what 8CtiMties the Charity should undertake.
Achlevemonts and performance
The Trusteès conbnued with Iheir policy ol providing granis and bursary awards as w211 a5 the distribution of
income.

THE BRADSHAW GASS TRUST
TRUSTEES, REPORT {CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
Monitoring achievement
The Trustees receive progress reports from the sludenls who received a bursary award or scholarship and lellers of
Ihanks from the Charities and organisaknons ivho received income or granls.
Financial review
The Charity received income of £68,331 from inve51menls. Management and administrative costs amounled ta
£19,048 and £36.500 was paid out by the Charily for charitable purposes. There was a deficit on revalualion of
inveslmellts or £60,057. Al 3 July 2025 the Charily's funds consisled of unreslricled funds of £44,749 12024..
£33,369). designated lund5 of £21,800 12024." £16,322}, reslricled funds of £74.157 12024.. £77.0541 and
endowment lunds of £1.941.04612024.. £2.002.281).
Going concer
Al the lime of approving the accounts. Ihe Truslees have a reasonable expectation that the Charity has adequate
r8s0uicès lo continue in operabonal exisltsn¢e for IhÈ foreseeable future. Thus, the Truslees continue lo adopl the
going concem basis of accounting in preparing the accounl5. There are no malerial uncertainties about the
Charity's ability lo continue.
Grant making Policy
Under the terms of the Trust Deed the income is allocated in specific afflounls io a number of funds. The Trustees
have powers lo reallocate income where charitable objeclives have failed. Applications are made to the Trustees
and consideied al their annual meeting. Details of the funds and grants made a￿ detailed in note 8 on page 9.
Rèservès Policy
It is the policy of the Charity that unreslricled funds which have not been designaled for a specific use should be
maintained at a level which equates lo approximately six month's unreslricled expenditure. This provides sufficient
funds lo cover managetn&nl and administration and support cosis.
The free reserves of the Charity al 3 July 2025 were £66.548 (2024". £49.6911.
Investment policy
There are no reslriclions in Ihe Charily's power to inve51. The Truslees are therefore govemed by the Trustee AGI
2(>OO which is enshrined in law a slalulory duty ol care. The investment policy ol the Trustees is lo maximize
income whilst maintaining capital growih in low and medium risk unitised inveslfflenls. The Trustees lake account
of social. environmenlal and ethical considerations when selecbng suitable investrnenls.
Plans for Ihe future
The Charity will continue lo provide incom8 and granls lo the various charities and organisations as specified in Ihe
Trust Deed.
Statement of Trustees responsibilities
The Trustee5 are responsible for preparing thè Twslees, Report and Ihe financial statements in accordance with
applicable law and United Kingdom Accounting Standards including Financial Reporting Standard 102.. The
Financial Reporting Standard applicable tn the UK and Republic of Ireland Iuniled Kingdom Generally Accepted
Accounting Praclicel.
The law applicable to charilies in England & Wales requires the Trustees lo prepare financial statements for each
financial year which give a true and lair view of the slate of affairs of Ihe Charity and ol the income and expendiluie
ol the Charity lor that period. In preparing these financial stalemenls. Ihe Tnjslees are required lo..
select suitable accounting poliaes and then apply them consistenuy.
observe the methods and princjples in Ihe Charitie5 SORP..
mak8 judgmenls and accounting esltmales that are reasonable and pnHJent.'
slate whether applicable accounting siandards have been followed, subject lo any ma16rial departures
disclosed and explained in the financial slatemenls. an
prepare the financial statements on the going concem basis unless il is inappropriate lo presume that the
charity will continue in busine&8.

THE BRADSHAW GASS TRUST
TRUSTEES, REPORT (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
The Trustees are responsible for maintaining proper accounting records which disdose wilh reasonable accuracy al
any bme the financial position ol the Charity and enable Ihem lo ensure that the financial slalernents comply with
the Charilies Act 2011, the Charity (Accounts and Reports) Regulations 2008 3nd the provisions ol Ihe trust
deedlconslilulion. They are also responsible for safeguarding Ihe assels of Ihe Chaftly and hence lor taking
reasonable Steps lor the prevention and detection ol fraud and olher irregularities.
I declare. In my capacity of Charity Trustee thal..
the Trustees have approved the repotl above.. and
have aulhorised me 10 Sign il on their behalf.
C W Haywood-Trus
eÈ
Dated

THE BRADSHAW GASS TRUST
INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF THE BRADSHAW GASS TRUST
I report on the financial slalemenls ol the Charity for the year ended 3 July 2025, which are set out on pages 5 10
15.
This report is made solely lo the Charity's Trustees. as a body. in acc(￿dance wilh section 154 01 the Charities Act
2011. My independenl examinerfs work ha5 been undertaken so Ihal I mighl stale lo the Charitls Ttustees those
mallers l am required lo state to them in an independent examiner's report and for no other purpose. To 11)e lullesl
exlenl p8rmilled by law, I do not accept or a55Utne responsibilily to anyone olher Ihan the Charity, Ihe Charily's
members as a body and the Charily's Trustees as a body lor my independent examinerfs work. lor Ihis report. or for
the opinions I have formed.
Responsibilities and basis of report
As the Trustees of the Charity you are responsible for Ihe preparation of the accounts in accordance with th8
requirements of the Charities Act 20111.the Acl'l.
I report in respect of my examinalion of the Trustee's accounts carrted out under section 145 of Ihe 2011 Acl and in
carrying oul my exafflinabon I have followed all the applicable Directions given by Ihe Charity Commission under
section 145{5llb) of U)e 2011 Acl.
Independènt examiner's statement
I have completéd my examination. I confim) that no malerial malters have Come to my attention in connection wlh
the examinalion giving me cause lo believe that in any fflaterial ￿SpecI..
111 accounting records were not kept in respect ol Ihe TnJsl as required by section 130 01 Ihe Act.. or
121 the accounts do not accord with those records.. or
{31 the accounts do not comply wlh the applicable requiremenis conceming the form and contÈnl of accounts sel
out in Ihe Charities (Accounis and Reports) Regulations 2008 olher than any requirement Ihal the accounts
give a 'lrue an(5 fair view which is not a matter considered as part of an independenl examination.
I have no con¢erns and have come across no other maliers in conneciion with the examination to which attention
should be drawn in thi5 report in order lo enable a proper underslanding of the accounls to be reached.
Signed...
Date.....
Andrew Simm FCA
Smilli & Goulding Limited
Hamill house
112-116 Chorfey New Road
Bollon
BL14DH

THE BRADSHAW GASS TRUST
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 3 JUL Y 2025
Total
2025
Total
2024
Notes
Unrestiicted Designated Restricted Endowment
Funds
Funds
Funds
Fvnd$
Income and endowmerbts
from:
Income Irom investmenls
34,294
25.280
6.379
65.953
64.564
Interest receivable
2,300
2.300
3,113
Other income
78
78
233
Total incorne
36.594
25,280
6,457
68,331
67,910
Expenditure on..
Charitable activities
25,214
21.894
4,406
4,034
55,548
78,230
Total expenditure
25.214
21.894
4.406
4,034
55,548
78,230
Net income l expenditur8
11.380
3,386
2,051
14.0341
12.783
110,3201
Transfers between lunds
2.473
{2,4731
Gain5 1 (Losses) on Tnvestment
assets
OD disposal
15
On revaluation
15
13811
(2,4751
157.2011
160.0571
112.140
Net movement in funds
11,380
5.478
{2,8971
161,2351
147.2741
101.820
Fund balances at 4 July 2024
33.369
16.322
77.054
2,002,281
2,129.026
2.027,208
Fund balances at 3 July 2025
44,749
21.800
74,157
1.941,046
2.081,752
2,129,026
The breakdown of the 2024 figures belween the funds are in nole 14 on pages 12-14.

THE BRADSHAW GASS TRUST
BALANCE SHEET
AS A T3 JULY2025
Unrestricted Designated Reslricted
Funds
Funds
Funds
Endowment
Funds
Total
2025
Total
2024
Note5
Fixed Assets
Investmenls
15
10.472
78,T13
1.943.872
2,033.117
2.093,174
Chief Rents
10.472
78,773
1,943,873
2,033.118
2.093.175
Current Assets
Cash al Bank
10
47,130
28.698
6.164
{2.8271
79.165
75,331
Current Liabilitie5
Creditor5
12,3811
44.749
(17.3701
11,328
110.7801
14.6161
130,5311
48,634
139.4801
35,851
Net Current Assels
(2,8271
Total Net Asse15
44,749
21.800
74,157
1.941.046
2,081.752
2,129.026
The Funds of the Charity
Endowrnent Funds
13
1.941.046
1,941,046
2,002.281
Reslricled Funds
13
74,157
74,157
77.054
Designated Funds
Unreslricted Funds
13
21.800
21,800
16,322
13
44,749
44.749
33,369
Tolal Charity Funds
44.749
21,800
74.157
1.941,046
2,081,752
2.129,026
The accounts were approved by the Trustees on ........... ......... ....................
Signed on behalf of the Trustees.
C W Haywo
Trustee

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 3 JUL Y 2025
1 Accountlng policies
1.1 Basi5 of preparation
The accounts have been prepared in accoldance with the Charity's Trusl deed, Ihe Charilies Act 2011 2nd
Accounting and Reporting by Charities= Slalement of Recommended Practice applicable to charilies preparing Iheir
accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland IFRS
1021 leffeclive 1 January 20191" The Charity is a Public Benefil Entily as defined by FRS 102.
The Charity has taken adva￿tage of the provisions in the SORP for tharilies applwng FRS 102 Update Bullttlin 1
not to prepafe a Statement of Cash Flows.
The accoLfnts have departed fiom Ihe Charities (Accoun15 and Reports) Regulalions 2008 only lo the exlenl
required to provide a true and fair view. This departu￿ has involved followng the Statement of Recommended
Practice for charities applying FRS 102 rather than the version ol the Slalemenl of Recommended Practice which is
referred lo in Ihe Regulations, bul ivhi¢h has since been wilhdr3wn.
The accounts are prepared in sterling, which is the functional ￿￿encY of the company. Moneiary amounls in these
financial slalemenls are rounded lo the nearesl £.
The accounts have been prep8red undei Ihe histOTical ￿st Conventi￿ except for the valuation of inveslmenl
assets, which are shown at quoted rnarkèl price for UK lisled inveslmenls. The a￿OuntS include all transactions,
assets and liabilities for which the Charily is ￿sponsible in law.
.2 Going concern
Al the lime ol approving the accounis, the Trusteès have a reasonable expectalion ihat the Charity has adequate
resources lo continue in operational existence for the foreseeable luture. Thus. Ihe Trustees continue lo adopt the
going concern basis ol accounling in preparing the a¢counls. There are no malerial uncertainties about ihe
Charity's ability lo continue.
1.3 Funds
Endowmenl funds are funds which Ihe capiial musl be maintained- only income arissng From investment of the
endowment may be used either a5 restricled or unreslricled fund5 depending upon the purpose for which the
endowment was established. Any gains or losses arising on the investments form part of Ihe fund, inveslmenl
managemenl charges and professional advi￿ relaling lo the lund are charged againsl the fund.
Reslricled fund5 are funds specified in the Tnjsl Deed to support the Archilecls Benevolenl Soaely. Unity Church.
Walmsley Chapel, Bollon Guild of Help, Works of Art Fund an¢J Btadshaw Gass Scholarship Fund.
Designated funds are funds where Ihe Tntslees al their di￿retiOn have crealed a fund for speofic purposes.
Unrestricted funds are funds which are expendable al the (Jiscrelion of the Trustees in lurtherance of the objecls of
Ihe Charity.
1.4 Incoming rèsources
These are included in the Slatement of Financial Activities ISOFAI when:
1. the Charity becomes legally entitled to the benefit of use of the resources-
2. an inflow ol economic benefit is probable., and
3. the monetary value can be measured wlh suffi(ienl relÉability.
1.5 Resources expended
Liabilities are recognised as soon as an ouinow ol economic benefit is probable.
Govèrnance costs include costs of the preparation and exattaination of slatulory accounts, the costs ol Trustees
meetings and cost ol any legal advice to Trustees on govemance or conslitutional mattels. All the govemance
costs have been included in Charitable A¢tivilies as a whole rather Ihan be apportioned.
Grants payable are charged in the year in which il is probable Ihey will become payable.
1.6 Cash and cash equivalents
Cash and cash equivalents include cash in hand, deposits held at call wilh banks. other short-term liquid
inveslments with original maturities of three months or less, and bank overdralis.

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
1.7 Fixed asset investments
Fixed asset invesltnents are initially measured al transaction price excluding Iransaction costs and are subsequently
measU￿d at lair value al each reporting dale. Changes in fair walue are recognized in nel incomellexpenditurel for
the year. Transaclion Costs are expensed as Éncurred.
2 Investment income
Unrestricted Designated Restricted Endowment Totsl
funds
funds
funds
funds
2025
Tolal
2024
InGome from listed
investments
34.294
25,280
6.379
65.953
64.564
3 Interest receivable
Unrestricted Designaled Restricted
funds
fund5
funds
Endowment Total
funds
2025
Total
2024
Bank inleresl
2.300
2,300
3.113
4 Other income
Unrestricted Designated Restrtcted Endowment Total
funds
funds
funds
funds
2025
Total
2024
GroLJnd rent
Sale of books
78
78
233
78
78
233
The Works ol Art Fund made a large single spectal donation during 2007121M)8 to fund a book on archileclural
hislory amounting lo £25,285. Th& Trust feceives commission ffom Ihe sales of the book and has re¢eived £4,074
lo dale. Income wi51 continue lo arise (rom this source which 15 anticipaled I￿11 repay Ihe donalion made.
S Trustees
None ol the Ttuslees lor any persons connected wlh them) re￿iVed any rewnuneTation or benefits from Ihe Charity
during the year.
6 Employees l Key Personnel
There were no employees during Ihe year.
7 Relatod parties
Mr C W Haywood and Mr M H Hawod are TrLSStees of the Charily and parlners in Haywood & Co LLP, who ale
the accounlanls to the Trustees. The fees received by Haywood & Co LLP in Ihe year ended 3 July 2025 amaunled
10 £16.200 and included £64 for the Clerks salary. Clause 6{il of the Trust Dee(l authorises the payment of
professional fees lo Trustees or any partner Ihereof.

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
8 Grants payable
The nel income of Ihe Charilable Trust from urhrestricled lund inveslments for the year ended 3 July 2025. after
providing for governance costs, available for distribution amounis lo £50.765 and a 1126 share is £1.953.
2025
2024
Gfanls lo ins1ilulion5 relat]'ng lo granls payable comprise..
Restricted Funds
Archilecls Benevolent SocÈely
Bolton Guild of Help
Bradshaw Gass Scholarship Fund
Unity Church
Walmsley Chapel
Works ol Art
1,953
651
1,893
631
651
631
651
500
4.406
631
12.000
15.786
Designatèd Funds
Archilecls Benevolent Society
Birlenshaw
Bolton Deaf Society
Bolton Guild of Help
Bolton Hospice
Bolton Lads & Girfs Club
Bradshaw Gass Educational Fund
Fortalice
797
857
2,750
1,200
549
2,000
1.200
8.000
2,750
S49
2,750
1,200
569
2.QOO
1.200
12.030
2,750
569
Unity Church
Walmsley Chapel
Bolton Hospitals Fund
2.099
2.119
12,500
38.544
21,894
Unrestricted Funds
Bolion Lads & Girls Club
Bolton Town Centre Chaplaincy
Caritas
Day trippers
YMCA
7,000
2,000
1.000
1,000
250
1,200
10,200
1,200
3,450
Total Grants Payable
36.500
57,780
Grants awarijed in the year
Grants cancelled or recovered during the year
Grants paid during the year
Grants payable al 3 July 2024
Grants payable at 3 July 2025
36.500
57,780
14S,5501
37.200
146.9801
26,400
28,150
37,200

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
9 Expenditure on charitable activities
Unrestricted Designated Restricted Endowment
funds
funds
funds
funds
Total
2025
Total
2024
Granls payable Inole 81
10,200
21,894
4.406
36,500
57.780
Accountancy chaiges
12,102
4,034
16,136
17,636
Independent Exarniner's lee
2,369
2,369
2,280
Clerk's salary
64
64
64
Website costs
384
3B4
348
Bank charges
18
18
23
Legal fees
Sundry expenses
77
77
$9
25.214
21.894
4.406
4,034
SS.548
78.230
10 Cash 3t bank
Unrestricted
funds
Designated
funds
Restricted
funds
Endowment
funds
Total
2025
Total
2024
Nalwesl Cuirent
3,953
3.953
13,660
Nalwesl Deposit
12.592
12,592
COIF
30.585
28,698
6,164
{2.8271
62.620
61.667
47.130
28.698
6.164
{2,8271
79,165
75.331
11 Crèditors
Unrestricted
funds
Designated
lunds
Restricted
funds
Endowment
funds
Total
2025
Total
2024
AccnJals
2,381
2.381
2,280
Grants payable
17.370
10.780
28.150
37,200
2.381
17,370
10,780
30,531
39,480
10

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
12 Movement In funds
Funds
Balance at
4 July 2024 Income Expenditure
Movement in funds
Balance at 3
July 2025
Revaluation
Transfers
Restri¢tÈd Funds
Works ol Arts Fund liiil
Bradshaw Gass
Scholarship Fund (il
Ar¢hilecls Benevolent
Society
Bolton Guild of Help
Unity Church
Walmsley Chapel
24,725
78
(5001
24,303
52.329
2.473
12,4751
12,4731
49,854
1.953
11,9531
651
(6511
(6511
(6511
{4.4061
651
651
77.054
6,457
12.4751
12,4741
74,157
Designated Funds
Architects Benevolent
Sociely
Birtenshaw Hall
797
(7971
2,750
{2.7501
{5491
Bolton Guild of Help
Bolton Hospitals Fund {ivl
549
16,322
5,859
{3811
21,800
Bolton Hospice
2.000
(2.000)
Bolton Deaf Society
1,200
{1.200}
Bolton Lads & Girts Club
1,200
(1.2001
Fortalice Ltd
radshaw Gass
Educational Fund (ill
Unity Chur¢h
Walmsley Chapel
2.750
(2.7501
5,527
(8.0001
2.473
549
(5491
(2.0991
121,8941
125.2141
(4.0341
155.5481
2,099
16,322 25.280
(3811
2,474
21,800
Unrostricted Fund
33,369 36.594
2.002,281
44,749
1,941,046
Endowment Fund
157.201)
160.0571
Total Funds
2,129.026 68.331
2,081,752
NOTES
This hJnd represents accumulated in￿me. Applicants are 50 inlrequent that the Trustees consider the
accumulated incA)me sufficient lo meel any requesl for funijing and therefore continue to treat the Fund
"failed lor further general income allocalion altl)ough this decision wll be continuously reviewed.
The
Trustees considered that their Grant lo lund the Bradshaw Gass Lecture specifically lor the benefit ol students
of architecture fell wlhin the donors, wishes lo advance the education of such students. 11 is their intention lo
provide funding for this purpose in th8 future.
This fund is a merger of the University Fund and the Bolton Schools Fund.
The Works of Art Fund made a single speual donation ¢Juring 200718 lo fund a book on archileclural
history amounting lo £25.285. Commission from Ihe sales of Ihe book received amounts lo £4,074 10
dale. Income ¢onlinues lo arise from this source repays the donation made. A copy ol Ihe botsk is
given as part ol thé Bradshaw Gass Educational Fund granl given to sludenls. This fund represents
accumulated income. Applicants are so infrequenl that the Trustees consider the accumulated income
sufficient to rneet any request lor funding and Iheieforè conts.nue lo Ireal the Fund "failed" for further general
income allocation.
Thi5 fund was formerfy Bolton Hospitals Arts Projects

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
13 Analysis of net assets be￿een funds
Unrestricted
funds
Designatod
funds
Restricted
funds
Endowment
funds
Total
Fund balances at 3 July 2025 a
represenled by..
Inveslmenls
10.472
78.773
1.943,873 2,033,118
Current assets
47.130
28.698
6.164
12,8271
79,165
Credilors.. amounls falling due within
one year
117,370)
130.5311
{2,381)
110,7801
44.749
21,800
74.157
1,941.046
2,081,752
14 Comparatives for 2024
Slalement of financial activities
Unrestricted
Funds
Designated
Funds
Restricted
Funds
Endowmenl
Funds
Total
2024
Income and endowments from..
Income from investrnents
29,056
29.301
6,207
64,564
Inler8St receivable
3.113
3.113
Olher income
233
233
Total income
32.169
29.301
6,440
67.910
Exponditure on:
Charitable activities
19.491
38.544
15.786
4,409
78,230
Total expendilure
19.491
38.544
15.786
4,409
78,230
Net income l expenditure
12.678
{9.2431
19,3461
{4.4091
{10.3201
Transfers between fund5
2,421
12.421)
Gains I (Losses) on invesiment as5els
On disposal
On revaluation
777
4.750
106.613
112.140
Net movement in funds
12.678
(6.0451
17.0171
102,204
101,820
Fund balances al 4 July 2023
20.691
22,367
84.071
1.900.077
2.027,206
Fund balances at 3 July 2024
33.369
16.322
77.054
2,002,281
2.129.026
Investment income
Unre5trieted
funds
Designated
funds
Restricted
funds
Endowment
fLtnds
Total
2024
Income from listed inveslmenis
29.056
29.301
6.207
64,564
12-

Grants payable
3.450
38,544
15.786
57,780
Accountancy chaiges
13,227
4.409
17.636
Independent Examiner's fee
2.280
2.280
Clerk's salary
64
Website cosis
348
348
Bank charges
23
23
Legal fees
Sundry expenses
99
99
19,491
38,544
15,786
4.409
78,230
Cash at bank
Unrestricted
funds
Designated
funds
Restricted
funds
Endowment
funds
Total
2024
Natwesl Cuirenl
12.453
1.207
13,660
Nalwesl Deposit
COIF
23.192
20.639
17.836
61,667
35.649
20.639
17.836
1.207
76,331
Creditors
Unrestricted
funds
Designated
fur]ds
Restricted
funds
Endowment
fund5
Total
2024
Accruals
2.280
2,280
Grants payable
15.171
22,029
37.200
2.280
15.171
22.029
39,480

THE BRADSHAW GASS TRUST
NOTES TO THE ACCOUNTS (CONTINUED)
FOR THE YEAR ENDED 3 JUL Y 2025
14 Comparatives for 2024 Icontinuedl
Movement in funds
Balance at
4 July 2023
Movement in funds
Balance al 3
July 2024
Funds
Income
Expendilure
Revaluation
Transfet
Restricted Funds
Works ol Arts Fund liiil
Bradshaw Gass
Scholarship Fund {il
Archilecls Benevolent
Society
Bolton Guild of Help
Unity Church
Walrnsley Chapel
36.493
233
112.000)
24,725
47,578
2.421
4,750
12,4211
52,329
1.893
(1.8931
631
(6311
{6311
631
631
{6311
84,071
6.440
115.786)
4.750
12.421}
77.054
DeSigna￿d Funds
Archilecis Benevolent
Society
Birtenshaw Hall
857
{857)
2.750
12.750)
1569)
Bolton Guild ol Help
Bolton Hospitals Fund
569
22.367
5.678
112,$001
777
16,322
Bolton Hospice
2.000
{2.000)
Bolton Deaf Society
1.200
{1.200)
Bolton Lads & Girts Club
1,200
{1,200)
{2.7501
Forta11￿ Ltd
2,750
Bradshaw Gass
Educational Fund {iil
Unity Church
Walmsley Chapel
9,609
{12.030)
2,421
569
{569}
12,119)
138.544)
119.491)
(4.409)
178.230)
2.119
22,367
29.301
777
2.421
16.322
Unrestricted FLEnd
20,691
1,900.077
32.169
33.369
Endowment Fund
106,613
2.002,281
Total Funds
2.027.206
67.910
112.140
2,129.026
Analysis of net a55ets between fund5
Unrestricted
funds
Designated
funds
Restricted
funds
Endowment
funds
Total
Fund balances a13 July 2024 ar8
represented by..
Inveslmenls
10,854
81.247
2.001.074 2.093.175
Current assets
35,649
20,639
17.836
1.207
75,331
CrÉdilors.' amounts falling due wlhin
one year
122.029}
139,4801
12,2801
115.171)
33,369
16.322
77,054
2,002,281
2,129.026
14

ILU
iq
Ioo