isternd Cha
No. 285285
THE PRIMAR
CLUB
REPORT AND ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024

THE PRIMARY CLUB
AccouKfs FOR THE YEAR ENDED 31 MARCH 2024
Conl•nts
Paga
Report of the Trustees
Independent Examinerfs Rewt
Slalement of Finandat Activitses
BalarKe Sheet
Notes Fomiing Part ofthe A£counts
9-13
The follcwing does not frym part ofthe statLrtory accourrts..
Dolailed Income and Expenditure Account
14

THE PRIMARY CLUB
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2024
Report of the Trustsos
The Trustees present th￿[ annual report and fin8nclal ststement8 the year ended 31 Ma￿h 2024.
The financial statements have been prep*¢d In accordance ￿th the accxJJnting polioes set OLrt in noto
1 to the accounts aThJ comply wth the Charibes Act 2011 and A￿ntiTrJ and Reportlng by Charthes..
Stslement of Recommendwj Pract￿8 applKable to charibes preparing their accounts in accordance
vthh the Finanual Reporting Stsndard (FRS102) applicable in the UK and Republlc of Ireland (effedve
1 January 20191.
In recent years. tha Trustess h8v¢ elected lo take advantage of the av8Slable audit exemptlon and have
the accounts independenty examlned Instead. This has reww In smanthcant co81 savw8 and the
Trustees have deudod to continue wrth this wlicy.
Otyectlv•s and Acllvlt188 ft*r tho publlc b•n•lll
The Prlmary Club rthe Clubl e￿sts to wovlde for the SFc*ttng and recre8Ional r￿ed$ of the tllnd arrfj
parU81fy sighted throughout the UK. Most of the Club's income come8 from members, donatlon8
supplemented by legades and is used to SUPFOrt a vlde v8rf8ty of prolects. The Trusteas hav8 referred
lo th6 guldan¢é contained In the Chaty Commls51on'$ genoral guidonco ort publ1¢ bènefrt when
revlewng the Club's aims and objectives and in planning Its future activities. In particular, the Trustee5
conslder how F4anned actfvrties will contribute lo the alms and ￿ectiveS whkh they have set.
The Trustees have full discrellon over whtd) projects wll be 8UPPort&￿. In exttc181ng that d18cretlon.
they have regard to th6 folk)y￿n9 crtt8rla'.
All prolects musl rdato dearly to tho 8Fwxttng arwyor rocroational need8 of tha bllnd and
parually sighted.
The Trustee8 generaltry wefer to 8WOrt 'gras8 root8, and '8tart up. activitt88 rather th￿. for
example, Inlemallond 188m8 of w8ually Impalred spottsmen 8rKY V￿lMen.
Thè Tru8tee8 generalty pr•fer to fvrvj the vthole of the co81018 project, even whore thls 18
swead across two or more yews, ralhw to be one of a number of contrlbulorn.
Thè Trustaes generalty prefer lo support running costs or Ihg purch850 of oquipment, 88
dI8￿ncE from it8m8 8ignificantly increase the reoKi8nt'8 long-torm as$6t base.
ile Ihwe 18 no geographical limilallon to the support whlch can bg provided anywhere wilhln
the UK, the Twstees are keen to encourage applications from clubs and schools in Scotland,
Wales and Northem Ireland whkh 8re under-represented at the moment.
The Tru8ts88 glve fvlr vcluntarlly lo hdp meet the oblthes of the Club. They r8¢9fv9 no
remuneration or expen8e8.
hlonltorlpg achlevement
The Club's 8ucce88 Is evaluated ty measwlng the propjlion of lolal inc•)me whlth18 devoted lo grant
maklng actmtles and the number and amcmjnt of grant8 m&le In each year. However. because Income
Is derlved ovethelmingty from donations and *ades whith are by the(r nature unpredlctable,1118 not
aFpropriale lo sel targets against vthi¢h overall financial performance Can be monitored. The Trustees
r8viw each grant application in detsil and ask wipients lo provide evidence of how past grants havg
been usod. They report their general conctusions to members in the annual newsletter, which indudes
appropriat6'ca8e 8ludle8'. 88 wel as the Ctub's website.

THE PRIMARY CLUB
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2024
Bu¥lne¥s and Flnanclal Re¥￿1
The results for the year are set on Fwge 7 of the accwnts. The Tntstees consider the 8tate of affaks
of the Club to bo satisfactory.
The Club's princip￿ funding 80urctt are currenlly membership SLtiscrI￿ns and donatic￿.
supplemented by legacies. All funds are kept In current xcounts and interest-bearing deposits. In
principle, and subject to sullable applICat￿nS for SUPFQrt being receNed, the Tnjstees alm lo dislrfbule the
regular Sncome recèlved each year arKI not to maintsin reserves beyond what is needed for
admlnlslratson. However, because legacy Ir￿Me{S unpredictabla, the Trustees have forrnulatod a pollcy
of retaining a proportion of any substantial legacies receNed and distrlbutlng th¢s over a period In order to
avoid excessive fluctuations in the support %thich the Club is able lo prti￿de. Under current accounting
practlce, this will result in surpluses being reported in those yeais when substantial legacy income Is
recognisod, followed by defici18 in the years when k18 used to augment the distribution of regufar income.
As noted last ye8r. the thanoal 8tatèmert8 for 2022r23 kWuded Income from malor leg8de8'. £185k
from the late Kenneth G James and £200k from the late Ethel Murray. The Trustee8 are very
aFpreeiattve of Ihgse substantial bequests, have enabled a significant 6xt8nslon In the Club's grant
making. In 2023r24, the Trustees would also Ilke lo express apwaciation for 8 fvrthor legacy of £14k from
the late Chrfstopher Larter.
Slnce the end of the year, the Club has been a￿se￿ of a further logacy of £45,CW. Al the date of
aFproval of the financlal statements th6 legacy has not yet been received arKI 88 the Club wa8 not
ndified ol the legacy 81 the balan¢0 sheet date. this has not been included in the flnandal statements In
accordance vlth the requlrements of Statement of Recommended Practice ISORPI.
FollgvAng th• recglpt of the Jome8 legacy, the Trustees decided to invtte fiJndlng Op￿￿*tionS lor
projects whl¢h, while consislanl the Club's nomial criterla, were outslde the usu81 range of
a¢tivlties andlor amount. Parucular emphasls was ￿a¢ed on piojecl8 that damonslrated either
innovation or collaboration b&tween or9arusalions lo achwo something which could not bg athieved
abne. Dislributsons lolalling £139k were made to 11 successful applicants. in add￿0￿ to grants of
£187k approved thrcwh the norm818Mual procoss.
Plans for Future Perlod•
The Trustees aim to reviff4V the Club's pmmotional and fuTrJra181ng ac11v￿leS to broadèn the
g￿graphiCal range ol organisations whlch r( supports. ccfflsislenl the gener81 polky described abov•.
R8cent legacy Income has teen such that. after making the grtnts noted above, the Club's reserves at
31 M8rch 2024 Stood at £278k. The Trustees plan use these bJnds as follows..
lo meet the se¢ond yew costs of certaln twm proAects akeady f￿ded undèr the James
Fund..
to ￿ld one or more fijrther fundral8lng rOur￿lS on the Ilnes of the James Fund, In honour of
Ethel Murray,. and
to retsln a balance which *ill help to WOt￿t thè thl of futur8 gran1$ In years when no legacy
income 1$ available.

THE PRIMARY CLUB
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2024
Structsrg, Governance and Management
The Club is an unincormed assccpbon, gov8med by a set of rules last amended on 20 February
2006. and is a registered charity number 285285. The officers of the Club and the other Trustees are
appolnted by a majortty resolution of the Tnjstees and may ￿ ￿MOVed ty a similar SLth resolLrtion.
Induction for new Trustees is athieved thrcwh attendance al TNstee meetings piior to appointment and
through dis(yJssion wrth individual officer5.
At the annual Trustees. meeting. the Trustees agree the br¢￿1 strategy aTrJ areas of actw of the Club
consider applications for grants in the context of agreed criteria and current financial projectSon$. Tre
day to day administration of the Club aTrJ the processing and handling of grant appI￿a￿OnS prior to
consideration by the Trustees is delegated to Ihe Hon se￿813ry and the Hon Treasurer.
Lydia Greenway reslgned as a Trustee effect from 20 March 2024 due to her V•t)rk commitments.
The Trustees wsh to express their gralibjde for her contrilyJtion to work of the Club.
Chri8 Lartham stepped dovm tr￿n hrs role as Honorary Se• on 31 March 2024 and hi$ pla￿ h88
been taken by Nlcole Pdkjck, wtKJ also became a Trustee effect from 18 March 2024. Chris has
worked tirelessly and with great skill as the HOnC￿ary Secretary for the last 20 years and the Club owes
hlm an enormous debt of gratitude. The Trustees are delighted that Chris wll be remaining as a
Twstse and that his expwience and aoknce will continue to be avai1*4e to his successor.
The Trustees were sad to leam of the death on 15 April 2024 of the Patron. Derek UndeNood MBE.
The Board wsh to place on record their appreci8tion of the many years of support that he gave to the
Club. as well as to the game of cricket and lo hls country. The Trustees are very pleased that another
distinguished former CTicketsr. Stuart Broad CBE. has accepted appointrnent 35 the new Patron.
Rlsk Management
The Trustees have cor￿ldered the major risks lo whth the Club is ew?sed and have established
systems and procedures Cinduding documentation and financk4 contrdsl which they deem appropriate to
the srLe. prominence and financial stsnding of the Club.
Key managernent personnel rBffluneration
The Trustees cti￿der the Board ofTrust&$ 8$ cofflpriging key man8gement p￿Sonn￿ of the Club
In charge of dir￿tir￿j and controlling the charity and running and operating the Club on a day lo day
basis. AJI Trustees give their time freety and no ITUSte8 rgmuneration was paid in the year. Infomiabon
relating to trustee expenses related paty transactions is dBdosed in note 3 to the accounts.

THE PRIMARY CLUB
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2024
Legal and Admlnlstrallve InfomMtlon
Patron
Derek Underwood MBE Ideceased 15 April 2024)
stuart Broad CBE {appointed 1 June 2024)
Trustees
The Trustees who served durtng th8 year wer8 as foN¢)w5: _
Tim Ketleher. Chair
Nicole Pdw, Honorary Secretary (aPp￿nted 18 March 2024)
Ross Midgley. Honorary Treasurer
Chris Larlham
Peter Baxter
Mike Brace CBE
Andrew Dixon
P8uI Doyle
Clive Fielh
Lydie Greenway (wgned 20 March 20241
Euan Sp¢n¢e
John Stem
Adryan Thomas
mlner
Thomson CTrJper
3 Castte Court
Camegie Campus
Durrfermline
KY118PB
Bankers
B8￿y$ Bank PLC
I Churchill Place
London
E14 5HP
Prlncl al OfFI
PO Box 12121
Saffron Wabjen
Essex
CBIO 2ZF
istration Nurnber
285285

THE PRiftylARY CLUB
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31 MARCH 2024
Statsmont of Tntste•s' R¢sponsibliltlos
The Trustees are reSp￿sible for preFortng the finwKial slatements in aC￿l￿an￿ with applc8t49 law
and Untted ￿IngdCrfn knunting Standards IGeneTalty ￿ted AccI￿ntIng P￿tice).
The jaw ap￿Kab[8 to charrttes In England and requires the Trustoes lo prepare t￿%)Unts frjr
each ffn8ncl81 year wh￿b give a true 8nd fair vmv of stale of affaTrB of the charity and of its incomin
resources and ap￿(CatIon of reSoU￿S for that Feriod. In prgparirtrJ these fmancid $tstsments, the
Trustees 8re required to:
suilable acc(yJnling polws and It￿ appty them o)nslsienUy.
obseNe th8 methods and prinLaples in Ihe Charitss SORP,
make judgements and estimates that are reasonab￿ 8ThJ PF￿n(
slate whether applicable accounting stsndards have bgon folk)W￿. su14￿t to any rrptsrtal
departures disd¢)sed and explained in the finaTrio1 statomgnts.
prepare the accounts on the going Cth￿m b￿$ unkss il is inappropriate to assuTh Ihal tha
charity will ¢￿tinue on Ihat basi%.
The Trustees are responsibfe for keewg 8ccountrng reo)rds which dwlose wlth reasonable accuracy
at any lime the finan￿at position of the ch8rlty and ID enab￿ them to ensure that the accounts ￿mplY
with the Chartties Act 2011, the charl1￿5 IAccrAnts army Reports) RegulalA)ns 2008 and the provisions
of the Club rules. The TnJstee5 are aLso rgsponsSble for safeguarding the assets of the charity end
hence for taking reasonat4e stQPs for the Pfevenlion 8nd detection of fraud and other irregulariues.
Approved by the Trustees on 17 July 2024 and sgrul on thetr beha￿ try:
Nicole
ollock
Honorary Secret8ry

THE PRllJlARY CLUB
INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE PRIMARY CLUB
I report kn the trustees on my examlnalion of the accounts of The Prirrrdry Club lor the year ended 31
March 2024.
Responslbllhles aml basls Of report
As Ih"& diarlty trust8es of The P￿Th￿ty Club you are re5F(￿[b￿ for the preparation of the accounts in
acufdanca wlth the requlrBmnts Oft￿ Charttles Ad 2011 {Ihe A£f).
I r8POrt in resp￿1 of my examination of The Primary Club'$ awounts ¢arrted out urthr seGtion 145 of
the 2P11 Ad and in c8rrylng out my erdmination I have fD1k￿yed all the applicabl8 DrreGlions gi￿ by
the Charity Commission under secaKJn 145(5Xbl of Ihe A(1
Ind•pondent eMmln•Vs slattmenl
I have completed my examinati¢￿. I confim that no ma￿la[ malters have corre to my att￿liOn In
connection wth the examination giwng me cause lo balieve that in any Materi￿ respectr.
accounting records were not kept in respert of Th8 Prwrwy Cbjb as requir&J by section 130 of
the Actr, or
the accounis (lo not a(X0￿ ￿th those reC￿rds.. CY
the accounts do not comF4y wlth the appliCa￿e requiremerts con￿MIng the fom) and content of
accounts set out in Ihe Charlties IAc¢ounls a￿1 Reports) ReguLqtions 2008 other than any
requlrement that the arxounts give 8 Inje and fatr VW whld) Is not a matter Consi￿ as Part
of an independent examination.
I have no concems and have co￿￿ acro￿ no other matters In conneclon V￿th the examlnatbn to whlch
attention should be drawn in this report in order io enable a proper understanding of the accounts lo be
reached.
sign￿..
aJJ
Name:
Andrew Croxford
Relevant professknnat qualificatbn or mmbetship ofwofeswnal Member of The Institute of
Chartered Acwjntants of Scotland
Address..
Thomson CooFer
3 Castle Court
Ounfermlin8
Frfe
KY118PB
17 Juty 2024

THE PRIMARY CLUB
STATEMENT OF FINANCIAL ACTivmES
FOR THE YEAR ENDED 31 MARCH 2024
Notes
UDrestrlct8d Unrgstrlctsd
Funds
Funds
2024
2023
Income
Donatlons
J￿nIng subscriptions and members. regular donations
Substantial non-recurring donations and leg8aes
Tax daim under Gfft Awj
Activities forgeneratsng funds
Sales of merchandlse
FundraiBing events
Investment income
Interest recthable
111,683
13.857
19,4g2
98,139
407,635
19.535
3,914
4,369
Total Income
154.015
530.346
Expondiiure
Costs of rnlslng funds
Cost of tles and tw(tyxh8S
Cost of merchandise sokl
Publicrty and admlnlstration
E¥p•ftditurn on Charftable a¢tiviQe8
Grants awarded
1,$48
2.831
8.474
3.192
9.372
10
324.794
162 6S7
Total Expgndlture
337.647
175 475
Net lexpendltur8N7ncome and net movement in funds
{183.632)
354.871
Reconclllation of funds
Tota fijnds broutht folwa
461.898
Total fvnds carried foThBrd
The Slatemenl of Flnanaa ￿ltIeS iTKludes all gains arKI losses fecognis•J in the ygar.
Al incomir¥J resources and resowces 8xpended derr¥e from eontinukng xtivities and relate solety lo
uryestslcted funds.
The notes on pages 9 10 13 fc¥m part of these ar£ounts.

THE PRIMARY CLUB
BALANCE SHEET
AS AT 31 MARCH 2024
2024
2023
Currnnt Assets
stock
Debtrjrs
Cash at bank
2,546
15,158
4,385
234,455
290.950
463,398
Creditors: Am¢JJnts f*ling due wthin one year
1.500
Net Assets
278.266
Funds
Unreslrfcted fvnds
481.898
The accounts were awroved by Trustee5 on 17 Juty 2024 ar)d sIgn￿l on th￿r behalf by..
Honorary Treasurer
Ross MKlgley FCA
The r￿teS on pages g to 13 form part oftrwe arxounts.

THE PRIMARY CLUB
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
coUn￿ng Pollcles
8asls ofprepardtA)n and assessmgrt of ￿ng concern
The accounts {financial statements) have been prgpared UT￿er the historical cost
convenUfX) Wth items recognised at cost or transaction value unless otherwk8e stated in
the rekvant note{sl to these accounts. The finanual statements have been prepared in
rdan￿ with the Slatement of Recommended Practlce.. Accounting and ReKTh)rting
Charities preparing their accounts in accordance the Financial Reporting
Slandard applicable in the UK and Republic of Ireland (FRS 1021 issued on 16 July
2014 and the Financial Reporting Standard applicable in the Unrted ￿ngdoM and
R8wblic of Ireland {FRS 1021 (effective 1 January 20191 and the* Charitses Act 2011.
The charity corr61itutes a public benefft entity as defined by FRS 102.
The Trustees consider that there are no materfal uncertalnties about the Charfty's ablllty
lo continue as a going Con￿rn. The Trustees have Lyjnshlered a peric4J of twelve
months from the d* of approval ofthfj accounts.
b)
FundAccounting
Unrestrtcted fvnds are avwlable for use ai the disuetion of Ihe Trustees in fvrtherance
of the general otiectNes of the charity.
Restricted fijnds are subjected to rEstrtcbons on thelr expenditure imposed by Iho donty
or through the temis of an appea. The charity currently holds no restn.cted funds.
Incon
I Incoming resources are recojnised tn the year lo which ty rdate. when there is
sufficient evidence to prowde the necessary certainty that the income will be received
and t￿ ¥a￿e of the incoming resources can be measured %Mth SLfficienl reliability.
Expenses
Expen¢ffiire is reccwlsed on an ac£ru￿$ basis a8 a liabilty is IrKurred.
Charitable eYpend￿jre comprises those ￿sts incurred by the charrty in the delivery of
rfts aclivitEs and Se￿￿eS for its benefjciarie5. tt indudes both costs that can
allocated directy to such acti￿￿eS atbj tho$8 costs of an indirect nature necessary lo
supwi them.
Governan￿ costs indude those costs asswated wrth meeting the constituts'onal and
slalutory requirements of the charity and include the audit fees and costs linked to the
Strateg￿ m8nagement of the charity.
Grants payajle are payments made to third paTbe5 in the furtherance of the charltab
objectives of the dwnty. They are accounted for when the recipient has 8 reasonable
eypectalion that they wll recEive the grant and the Trustees have agreeA to pay the
grant ￿thOut condrbon.

THE PRIMARY CLUB
NOTES TO THE AccouFrrs
FOR THE YEAR ENDED 31 MARCH 2024
Taxatio
As the charrty is recogni*a by the InlaThJ Revenue there (s M liabilty to taxatKJn.
Trustee Remunordtlon and Related Party TranvGdo
None of the Trustees recwved remunorabon durirg the year (2023- nit).
Net Outgolng Resou￿88
2024
2023
Net incoming resources for the year is ststed afttt charging:
Independenl Examlnerfs Remunera
1.500
1,500
Analysls of Expendlture on Charilablg Acttvltle5
Prt+¥igion
of Coro
Basts of
2023
Cost of ties & br￿cheS sdd
Cost of merchandise sold
Publicity and administratton
Grants
1.548
2.831
8.474
324.794
254
3.192
9.372
162.657
re
tArect
rect 324.794
2,831
8.474
8.474
337.647
175.475
All grants paid are institutkjnal. with rnne pa¥J to individuals. An anatysls of amounts paid is
induded in Note 10.
Stock
2024
2023
ries & brooches
Merchandise for S￿e to membe
1,775
771
3.323
4.385
10

THE PRIMARY CLUB
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
Deblor8
2024
2023
Tax recoverable ur*Jer Gift
Legacies
Prepayments and A¢¢ru*J In¢ome
11.329
1.429
11.773
220.472
234,455
Credltor5: Amounts Falllng Due within One Year
2024
2023
Grants payable (Note 101
Accruals and deferrèd irKome
11,085
1,599
12.684
1.500
Unrestrlcled Funds
At 1 April 2023
Mov¢mgnl in fvnds for the year
481.898
183632
At 31 Marth 2024
11

THE PRIMARY CLUB
NOTES TO THE AccouKrs
FOR THE YEAR ENDED 31 MARCH 2024
10. Grdnts approved
2024
2023
BM•ll¢lary
Purpmo Of￿
rdrie Coaknidge MCC
Berkshire County Blind S£￿ty
Birmingham Goafoall Club
Bim)ingham Sports Club
Birmlngham Stars VICC
Blin¢ Cri¢kot EThJland &Wa
Brad(c￿d & DL8trfct WCC
Braille Ches5 Asscoati¢
British B1￿K1 Swrt
Cambridge DLXS
Cheshire Cobras MCC
Defbyshire ASSWath￿ for BliThJ
Devon 8th￿ing SLE1￿ Club
Devon Oevils ISwV1F￿Sl Cl￿) Season eyper
DcKset Ddphins WCC
Standard MCC grarrt
Durham VICC
Standard MCC grnnt
English Bltnd Gdf AssC¢4￿￿
Matchpky ToUrnar￿1
GloucestsrshiTr MCC
Stand8rd VJCC grant
Harnpshi￿ WCC
Kent Spitfires VICC
ngston.U.Thamas Assn ts thè
Lancsshire ￿orts VICC
Lond￿ Futsal Cl
London SpLYts Club
Merseysi(te VTFC
Merton Sports & s¢￿￿1 Ckjb
Set up o)sts aTrl ￿uIpMent
staTrYard VICC Gra
¢>Jalball
Futsal
slanda￿ Vtcc Gra
Dov. BalK TmphY45. ￿. PC C
Standard VICC Grant
5.CQO
3,500
3.5C•J
4,0(M)
3,5CKJ
3.5CX)
18,0
3.500
3,700
11,418
2,000
17.8CK)
3,500
3,700
10.320
2,￿0
3,500
5.CM)O
2,￿)0
Arrthery & t￿ pin bryAing
Standard MCC grant
3.5C¥J
3.5C
3.5CK)
3,S(J)
5.450
Standard VICC grant
s￿"M￿1ng se5wor*
Crid(et & gc*ball
seas￿.¥ E￿nSeS
Sv*imming. [D￿ThJ etc
3.5(KJ
2.170
5.OOJ
3,430
2,880
5.145
2.50)
9.OCO
3.5(K)
6,5(K)
6.9(N)
iorx)
1,000
4.000
1.￿0
7.000
3.500
5,000
Ha(1 h5re & 5ngJratK8
StarKlard VICC grant- teams. 2024 athlstiLX
Stsndard VICC grwrt
Northants Stedb8d(s Vlcc
N¢rth VlÈst Scorpb?ns FC
Northem Ire18nd ￿1nd GoLf
OFen County
OutlcA)k Tnlst
Partially s￿hted Foolball LeaJJe
Royal Nats'onal Cdl&Je
SAVI Northwest
Scotttsh GolfSc¥*
Som&rsel VICC
Staff0rshi￿ WO1￿ VICC
Surrey VICC
SLBsex Sharks Incc
Tand￿nirE ToJether
Taunton Deane Ill BcfwL
B Somerset
V￿1C￿ ofPAventu
Watford Goalball Club
Wavèrtrèa CC
West Glamorgan Sports Cbjb
W￿cester$hlre EIEatetharts VICC
YeowlMCC
Yothshire VICC
Introducry children togoir
Tandun Chaw MK1dl6sbmwh
Rgsidential ￿kor￿j arNJ Sailing V￿
2,000
5,000
5,000
VICC season expen
Venue hire. 8]u￿ent Ir￿ g¢)abal
Strokeplay Twrnwnent
srandard MCC grant
StarKlard MCC grant
st8nd8rrl MCC grant
str￿lard VICC grant
TaThJ&n mairrtonar￿. irtsurarrè & tr¥nsp)rt
7,000 .
2,200
3,500
3,500
3.500
3,500
5.2C(I
000
3,500
3,500
3,500
1500
4,000
2,CKJO
2.LlJO
BThlirg Qub season eXp￿S
stLYage oftandèm fleet
Hdl hire
3.(KJO
3,￿0
3.250
Stsnd8nJ WCC gryait
3.OCX)
172 170
12

THE PRIMARY CLUB
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 MARCH 2024
10. Grants approved Icontinuedl
"Jam•s Fund" grants
2024
2023
Beneficiary
Purpos• ol grnnt
ABC Council
818ckn¥ell Sailing
Blind Baseball Cymru
81ind I￿ Hctkey UK
8ner School
Brrtish BlirKJ SF¥)rt
Daisy Inclusive UK
Goalball UK
Moor Vision
Sigm forwgm
UK 81iThJ Baseball
"See Sports" chaI￿nge
Instru£tOT5 and tran¥K)rt for dedicated Vl sailin9 trip5
ExpandiThJ baseball prowyon. pithleball development
Taster sew(￿$ aryJ"hav8 a go days
Purchase of goalball equik¥nent
Developrnent of "Sh(MYlovm'
Taster sessi￿$ lau￿ of"M Athlon. event
Goalball (Jevdo[￿enl ¢J)a(*ing and oynrrentary
Under fives Vl sport (Jevelopment
TaFvJern5 and 0￿r equirThent
Start up costs and seascfi expanses
11,085
5.460
19.680
4.175
6.028
15.462
21.322
25.(
5.000
16.139
9.350
138.701
Total
326.cva4 172.170
Analysls of rnovement in grant creditor
2024
2023
Grants payable at the beginning of Ihe year
Adjustments to grants approved in previous year
New grants approved dufing the year
Grants paid during the year
11,3001
326.094
313.709
19.5131
172.170
162.657
Grants payable at the end of the year (Note 81
11.085
11.
Events slnce the end of the year
Since the end of the year, the Club has been adw.sed of a fvrther ￿acY of £45,000. Al the dale of
approval of the financial statements the legacy has not yet been received and as the Club was not
noty'fied of the legacy at the balance sheet date. this has not been included in the financial stalements in
accordance with the requirements of the Ststement of Recommended PraCt￿e ISORPI.
13

THE PRIMARY CLUB
DETAILED INCOME AND EXPENDITURE Accoumr
FOR THE YEAR ENDED 31 MARCH 2024
2024
2023
Incom•
Jolning subscthpli￿s and memters. regular donabons
SJbstantI￿ non-recurring donations and legacies
Tax daim undw Gfft Ard
Sales of merchandise
Fundraising events
Interest receivat4e
111,663
13.857
19.492
3.914
98.139
407,635
19,535
4,389
ns
Cost of lies and brooches
Cost of morchandise sohj
Members. newsletter
Administrative costs
Independent Examination
88nk and collection charges
Mlscellane(X￿ costs
1,548
2.831
4,874
254
3,192
5,768
1.500
1.434
1,500
1.447
12.853
SJrplu8 before grants
141.162
517.528
Grants, net of adjustmerrts for prKX years
(Deficitysurplus for the year
183.632
354,871
2199466
14