RègistÈrÈd number: 01891491
Charity numb•r: 291515
RAILWORLD
(A Company Limited by Guarantee)
UNAUDITED
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
*AEHR7RSX*
1911212Q5
COMPANIES HOUSE
A39
*237

RAILWORLO
{A Company Limited by Guarantee)
CONTENTS
Page
Reference and Administrative Details of the Charity. its Trustees and Advis¢vs
Chairnian's Statement
Trustees. R•port
Independ•nt Exarninerfs Report
ststgment of Financial Activities
10-14
16
8alanc• Sheet
17-18
Not9$ t¢ the Financial Statements
19-30

RAILWORLD
IA Company Limitèd by Guarant••l
REFERENCE AND ADMINISTRATIVE DETAILS OF THE CHARITY. ITS TRUSTEE3 AND ADVISERS
FOR THE YEAR ENDED 31 MARCH 2025
Trustsos
B T Pearce MBE. Chaimian
D Johnson, Viee Chairman
P Marshall, Vice Chairman
Dr D Ball
B E Pennill
B Tyson
P A Halmshaw (appointed 27 November 20241
C¢mpany registered
numb¢r
01891491
Charlty r*gl$tergd
number
291515
R•gi5tered offi¢¢
Railworfd
Oundle Road
Peterborough
Cambs
PE2 9NR
A¢¢ountants
Streets Chartered Accountsnts
Enterprise House
38 Tyndall Court
Peterborough
Cambs
PE2 6LR
Page 1

RAILWORLO
IA Company Limited by Guarnntee
CHAIRMAN'S STATEMENT
FOR THE YEAR ENDED 31 MARCH 202S
The chairman presents his staiement for the year.
The Next June 2025 - This Rais￿￿1￿￿ Registered Charity 291515 wll celebrate 40 years since its in¢eplion, as
we look back- it is 28 years since Volunteers won their first Major UK Award - The 'lCIIDulux UK Environmentsl
Tearnwork Award,. It is also 32 years since thi5 small city attraction run by volunteers opened to the public1
Ouring that time. we estimate close on 150,000 people have visited . This number has risen every yearl 2024
10 2025- We had well over 10,000 induding ¢hildren, adults and ¢on¢e8sions.
At the insD'galion of the Unrted Nations. the world's environmenl was taken seriously for the very first tsme 54
years ago in 1972 at the Sto¢kholm Earth Svmmit. Twenty years later. in 1992 - Rev Richard Paten. our
founding father and lifetime volunteer, highlighted lo me the conclusion5 from the next major Earth Conference
in Rio De Janeiro. 8razil. 8ack then in 1992, Richard helped me personally to understand the enormous
consequences of'Human Induced Clsmate Change, and the need to preserve, not destroy much needed habrtat
and improve our worlds biodiveTsityI In 2024 the Earth Confereneè -COP 29 was held in Baku, Azerbaijan. but
in reality, little had changedl People and Governments were afraid or reluctant to make any major
environmental or C02 Erni55ion chan9esl
Ironically . Everything we had predieted has now come true. There are more hea￿a¥es, there 1$ a contsnual
in￿aSe in the World's Average Temperature, there are more wildfires of greater magnitude, there is an
increased propensity of stomis that are more intense, pllts hurricanes of excess magnitudel
All through the 1990's this volunteer project INed to highlight the need lo reduce 'Man-Made Emissions. and
encourage rail travel. but to no avail, we didn't forget it- 8ut we pul it on the 'backbumer' as we embarked ¢Jn
something - No one could 'Knock'l
By creating an inner-Gity green space on the derelict coal yard Richard had purchased for the charityl The
passionate volunteer5 desire was to crealp - A 'Lovely Place to go, To relax and be at home with gur natural
wodd. a beautifully landscaped area wth pond5 and waterfalls, learning with habitst and kn'odiversity, a place
that now. so many of visitors call a 'Hidden Gem'l The 'RaI￿Orld Wildlife Haven, is not just a much-loved
visitor attraction and community asset, il's much more than thatl The 'Haven' is an antidote for stre$s". 11 can
help reduce loneliness, increase sell-esleem and lower anxiety. volunteerlng is a fvn and a social activty. you
meet lots of like-minded people, who you can both leam from and Share your skills with. We have a group that
look after the Wildlife Haven, another group that likes building habitat, nest btsxes and the su¢hlike. another like
woodturning. another creating, running and maintaining the charity's model railway5 - All helping to create
cohesive community of friends and friendship? This helps you find Inner fulfilment - perhaps above all else,
volunteering 15 a really rewarding experience that lets you give something back lo your community and make it
better more postive place for everyone living there? The Charity is helped tremendously by the efforts and
5UPPOrt ol a very wide range of volunteers, companies. group5 and Individuals from many parts ol the UK, an
every part of our'city of Peterborough Community,.
Thè Chariws environmental project'Railworfd Wildlife Haven. givÈ$ equal prominence to the eharily's promotion
of encouraging protects'on of the enwronment an¢J inspiring environmentally friendly interest In railways and rail
travel. As we progress, we are endeavoring lo emphasize more our role of public education, or a 'Pilgrim
Cenlerfs a5 Rev Richard Paten, our founding Chairman called them. Our strapline is 'Entertain and Educate
about our World - Volunteers ¢realing Habitat for Nature with Model Railways., Our visitor base is worldwide, as
are views to our website, and we are hopefully, educating In many way5, people from all over the wortd.
As I mentioned earlier, after the Rio Earth Conference Re¥ Richard Paten. Ra￿world'S Chairman at the time,
and ihe Trustees. made the decision to highlight the need to control the wotld's carbon emissi¢ns. One of the
greate51 contributor5 was transport and the Board saw an opportunty for the charity lo promote 'Rail at the heart
of an integrated transport policy,, because rail is one of the most environmentally friendly transport modes of
people and freight known to man.
Page 2

RAILWORLD
IA Company Limited by Guarantè•l
CHAIRMAN'S STATEMENT {CONTINUEDI
FOR THE YEAR ENDED 31 fvIARCH 2025
The charity ha$ ¢ontinued thi5 difficult SL*bject of carbon emissions and climate change. bul now after over 30
year5, we stsll feel the Board of Trustees followed the rtghl path lo highlight lulure envtronmental problem$. We
have continued to do this highlighting the benefits of the Raihvortd Wildlife Haven's inner city green space bmth
ponds. waterfalls and restored and repurposed Victorian iTonv40rk in true 'Cir¢ul8r Economl ICE) fashion.
The Ch8rity's overall arnbilion is to be 'Suslainable' and improve 'Visitor Experience, plus create a viable 'Earth
Centre. to highlight the facts about 'Climate Change.
NO Theories- JUST the Facts! We would create many
lotslly inter3Ctive displays, highlighting h¢)w'Our World. ha5 gone from a 'Green Low Carbon Economy, Horse
and Cart. Walking, Windmills, Waterrnills, Sailing Ships, with an estimated 1 billion people. Then progresse¢J lo
the 'lndustnal High Carbon E¢onorry Revolutson. a totslly transfomative era that lundamenlally shifted human
societyl At present though we are still in and experiencing a 'High Carbon Economy'_ This must be drastically
reduced, but wlh at least B billion people ¢reatsng all this Co2, that is an unbelievable challengel These high
emissions need to be and are being drastically reduced by engaging in a NEW 'Green . Low Carbon Economy,.
With improved high output Solar Panels, Wind Turbines, more $lringenl emission legislations improved
electric vehicles. We are approaching the Science Museum, they have so much material and artifacls that are
not on display, these could be incorporate into thi$ New Earth Centre a150 a futUTe E¢o-Tran5POrt Centre
also to help advance the education of the public in all aspects of Sustainable Living and sustainable tran5POrt
including railway travel.
The world appear5 to be tsking a greater interest in our natural worfd and the need for greater biodiversity. We
need to as a charity. emphasise the important links betsveen nature and climate. especially bearing in rnind the
predictions that ¢limate scientists made 40 years ago. are starting to become more evident with increased World
temperature5, increased intensity of Storms. hurricanes. rainfall and wldfires.
The 8oard continues lo review and manage costs and invest re50ur¢es to grow recurring income, Income ha$
Inc￿3$ed over the past 12 months as have our visitor numbers and we hav• •annarked funds to build more
pemianent premises rather than rely or our ewsb.ng portable buildings1 I wsh lo acknowledge the role of fellow
tru51ees. who a5 the Board, are responsible for overseeing the charilvs strategy and operatsons. I would like lo
thank Philip Warren for taking the minute5 at all the trustee meetsng5.
The Charity received welcome donations from the Foresters and Employee Team days continued unabated
Nearly 300 hours of external help by Several employer5. GL Events singleh¥nde¢Jly restored our Field Study
Centre and donated multiple sheets ol wood and Alison homes a150 donated over 2C*O lengths of seasoned 4x2
wood which enabled us to roof over Ihe ￿ 40ft containers the volynleers acquired very cheaply Irom Kart Eves
of Deeping Direet Oelivery. A Big Thank you to all these amazing people that help us so much
We were delighted when National Highways provided funding to dismande and move Wansford Road Station lo
Peterborough to provide an impressive entrance for both charits.es the Nene Valley Rai￿aY and the RWH.
Volunteers have had a ma$sive drive t¢ raise fund lo ¢omplete the Victorian Building close on £200,000 will be
required to complete ready for openingl Peterborough City Council continue to support us in many ways
especially wlh the donation of redundant materials. Volunteer5 also dearly hope and pray that pete￿0[0ugh
City Council support our passion and environmental vision by offsetling the cost of Ihe 20.10 Business Rates for
the charity's premises. Volunteers are doing so mLbch for this city and deserye support, wilh well over 100,000
Recorded Volunteer Hour5.
We have Ivnds allocated for our CCTV and lighting scheme and Ihey still help to provide a safe passage acros$
the charity's lan¢J. The CCTV has been used by the police to assist them wth their investigations into criminal
activib'es and provides a well-lit and CCTV protected roule befv￿en Railworfd Walk and enlrances.to the south.
site al Pleasuie Fair Meadow and Cubitt Way.
Page 3

RAILWORLD
IA Company Limit•d by Guarants•l
CHAIRMAN'S STATEMENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Highlights during the year were..
We Continued to be well rated on TripAdvisoT.' we al30 reached the lop spot again this yearl Because of our
consistently High Visitor Ratings- we are in the Top 1 OOA of Attractions World-widel
Kennedy Wild Bird Food continues lo Supply all of the wld bird ftsod at discountl
Drew Bery of Fenland on Film ¢ontinues to digitize and support the charity's film archives of RTV31.
Circlefire Electrical, provided, certified and maintained our fire-fightsng equiprnent. They a150 carried out free of
charge emergen¢y119hting tests.
Simon Kelsall has been providing IT and computer support.
Slirling Maynard have completed a structural integrity survey of the RTV31 support beam and the beam has
been condemned and nee¢Js l¢)wering and breaking up. We hosted many events but the PECT 2024
Environmental Education Awards in the Globe Hall Earth Centre were a feature.
The Railworfd Wildlife Haven acts as a focal point for volunteering an¢ ag a community 8$get, supporting the
City'5 public services and civic society. It provides car parking on football match days and for major events as
part of the public 98fety and traffic management arrangements made by the Police. Council and Peterborough
United FC.
Regarding the charity's operations. feedback frorn vi51tors ￿mainS P05rtive, made p05siblE by our small team of
volunteers who give theif time generously to ensure every visitor has a great day out. I would like to thank
Rebekah While, our part-lime Attraction Manager, vA)o oversees the attraction wth Bob Clarke,. Paul Sewell,
John Stanton and Neil Turner. I would like lo thank the followng dedicated volunteers which include Elwn Edis,
Charfie Stevens, 8ob Harris, Pete Nunn, Paul Mitchell, the Crane Family, John and Diane, Chris Miller, Derrick
Mulvana, Bill Griffiths and Rob Smale who maintain the grounds and Wildlife Haven. The Morri5 Family, Rod.
Janet and Colin who look after 'Nene Halt, featurel Stan Houchen who looks after the Village Turners and Steve
Smith for guiding and suppo￿"n9 the volunteers in the 'Men's Shedil Bob Clarke. lakes care of the Garden and
Model R311ways on track, Craig Owen and his little team that look after the new arrival the HST. Sharon Chittock
who has responsibility, on a voluntary basis, of the preparation and day to day iunning of the chaiitvs
manayement accounts. also Ken Ince who continues to update our sofNvare to help.
Volunteer have been running the Duke of Edinburgh Award on site for the past 30 years and to celebrate this we
had a visit frorn the new DofE- HRH Prince Edward. He was thrilled to visit the haven site and enjoyed meeting
many of the present DofE youngsters and some pasl one5 that had moved on to gain Gold al a later datel Early
2024 1 gave a presentation earfy 2024 in the Great Hall and this resulted in Oundle School visiting us for a Big
Tearn Day, 40 pupils and the constant arrival of 51udenls from Russia, China and Mauntius to help u5 in
praetical ways on the project. l also wish to exlend my special thank5 to those who support the promotion of the
altraction so that more people can discover and enjoy a visit to the Raiknrld Wildlife Haven.
Special thanks to the Editors of The Peterborough Telegraph, ESP, The Moment Magazine. Group Travel
Wortd and Nene Steam, who continue to support our environmental endeavors.
All of these effort5 continue to sUPPOrt the projecL So¢ial rnedia continues to rernain important as we extend our
environmental message.
Page 4

RAILWORLD
IA Company Limited by Guarantee)
CHAIRMAN'S STATEMENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 202S
wildlife
HAVEN
*hampions
Repur,posel
ailway
Bridge
Bridge
over
Victorian
Railway
Bfidge
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Nature
advice
Naturel
ANYTHING!!
Pedestrian
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aven
Pa9e 5

RAILWQRLD
IA Company Limlt•d by Guarantee)
CHAIRldlAN'S STATEPdlENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Derelict Coal Yard to 'Railworld Wildlife Haven,
1985- 2025
ATh2in9 what a few volunte￿￿
Can dc•- Helpe¢J by 5urne ArTraziny
Companies, Gioups and Indiwdual5..
Op•n Év8ry W88k8nd8
40d Wgdng•day¥
Page 6

RAILWORLD
(A Company Limited by Guarantee)
CHAIRMAN'S STATEMENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
11.
'Ii
Page 7

RAILWORLD
(A Company Limit•d by Guar•ntsel
CHAIRMAN'S STATEMENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
rJ4..
Page 8

RAILWORLD
(A Company Limited by Guaranteè)
CHAIRMAN'S STATEMENT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Brian Pearce M8E
Chairman
Date..
Page 9

RAILWORLD
IA Company Limited by Guaranteel
TRUSTEES, REPORT
FOR THE YEAR ENDED 31 MARCH 2025
The Trustees present their annual report together wth the financial 5tatement5 of the ¢hanty for the year from 1
Aplil 2024 to 31 March 2025. The Annual Report 5erve5 the purposes of both a Trustees. report and a director5,
report under Cornpany law. The Trustees confirm that the Annual Report and financial statements of the
charitable company comply wi¢h the current slalutory requirements. the requirements of the charitable
cornpanvs governing document and the provisions of the Statement of Re¢oMmended Practice ISORPI
applicable lo charities preparing their a¢¢ounts in a¢¢ordance with the Financial Reportin9 Standard applicable
in the UK and Republic of Ireland {FRS1021 (effective 1 January 2019).
Since the charity qualffies as small under secbon 382 of the Companies Act 2006, the Strategic Report required
of medium and large companies under the Companies Act 2006 (Strategic Report and Directors, Reporti
Regulations 2013 has been omitted.
Objectives and activItIè$
a. Polici95 and objgcQiv•s
The prin¢ip81 objects of Ihe charity are..
to advance the education of Ihe public in all aspe¢ls of sustainable transport as part of the United Nation$
range of measures to Gornbat human Induced dimale change
to advance the education of the public in all aspects of raifv4ay travel as a Trmdely acknowledged form of
sustsinable transport lo create an eco-IranspDrt centre open lo the public for the aforesoid purp05est
to promote the research and study of man's mobility and its impact on the world and to publish the useful
results of this research to emphasise Ihe lole of public education centres in contributing lo mutual
understanding beN•ffjen the P&L)ple$ of the worfd
In seth'ng objectives and planning for activities. the Trustees have given due consideration to general guidance
published by the Charity Commission relating to public benefit, including the guidance 'Publi¢ benefit". running a
Charity {P62}'.
b. Strategies for achigving ¢bj?¢tives
Our strategies are based around the followng..
provide an interesting and entertaining visitor attraction
educate visitor5 particularly younger visitors of the impact of global and environmental changes
develop the Wildlife Haven to be more biodiverse
develop the tsvo model railways
work wlh other environmental ¢harilies to improve the natural environment ol Pelerborough
Page 10

RAILWORLD
(A Company Limited by Guarantee)
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Objectives and aetiviti•s Icontinuedl
c. Acttviti•s und•rtakon to achi•v• objo¢tkv¢$
Attracting visltors is still OUT major priorlty. The charity's facilitie5 are open to the general public lo 'enlertain and
Educate, about ¢urrenl environmentsl issyes in¢luding transport, bi¢diversity. our natural world, sustainable
tran5POrt and the raI￿VaYS. contribution. We also receive visits from schools and other group5 to help them
understand environmental awa￿ne$S and its importance and we maintsin and improve the 8re¥ with help from
local company'Team Days,.
We continue lo develop the Wildlife Haven as a habitat creation programme and which 1$ accessible to all. The
displays are always being expanded and improved lo be more relevant.
We make presenlalion5 to various oryanisalions such as sehools, Rotary clubs and Women's In$btutes
promote ourselves via the inteTnel, our website, promobons, social media.
We continually seek to recruit new volunteers lo develop the Raiknrfd Wildlrfe Haven and to explain to visitors
about the need lo be environmentslly aware and lo protect the future.
d. Main acti¥itSes undertaken to further the charity's purposes for the public benefit
The charity's facilitie5 are open to the general public and include visits from local schools and other groups lo
learn about our natural wortd, environmental awarenes5 a5 well as susfainable tran5POrt and raihvays. The
Wildlife Haven is accessible lo all and, as such, the twstees believe the charity has fulty complied with the
Charity Comrnission's guidance with regard to public benefit.
Achievements and perform8n¢e
. Going Concern
After making appropriate enquiries. the trustees have a reasonable expectatson that the charity has adequate
Tesources to meet its liabilities for the foreseeable futu￿.
The level of cash rese￿e5 means that the charity remains in a Sound financial position and the twslee8
continue to monitor all activities, so that they can continue to maintain and improve facilities for the future. For
this reason, they continue lo adopt the 90ing concern basis in preparing the financi8151alernents.
b. Rèvl•w of aetlvltlès
Details of the activities undertaken during 2024125 are set out in the Chairman's Statement.
¢. Fundraising a¢tl¥llle$ and income generation
The charity 15 primarily funded by income received from vtsitors. The charity's trading subsidiary company.
Railworld Trading Limited 15 responsible for managing commercial inilialive5. such as the provision of a café,
the sale of second-hand books and the use of Ihe car park. Railworld Trading Limited makes an annual
donation tts Railworfd under its Deed of Covenant.
Page11

RAILWORLD
IA Company Limited by Guarantee)
TRUSTEES. REPORT ICONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Financial rnview
. Review fty th* year
The Iruslees have continued lo keep the level of actNity within the available cash resources.
The Staternent of Fin8nci81 Activities shows..
lotsl income £71,183 from charitable and fundraising activities12024 income totalled £93.823}
lotsl expenses £105,971 12024 £67.7841 including governance costs of £3,18012024 £2,880}, depre¢ialion
charges of £23,23212024 £20,572).
the tharity has reported a net deficit for the year of £34.78812024 net surplLts £28,039).
Railworld has invested into improving the assets held by the charity, with additions in the year tolalling £20,404
12024 £21,802)
The charity 15 also expeGting lo install a Vidorian $talion on the Raitworld slte in 2025126 which wll require the
car park and entrance to be modified. Whilst the Iruslees have not specifically designated fund5 to cover the
expected cost of this work. thele wll be a considerable amount of work requiied which wll be met from the
general funLlraising in recent years.
b. Re$•Nos policy
The trustee$ re¢ognise their duty of responsible stewardship over Railworld's a$sets.
The long-lerm poliw of the tharity is to e$tabli$h ￿$h reserve$ at a level which 1$ sufficient. but not excessive.
to finance the nomal activities of the chanty for a period of al least six month5. On the basis of current
expenditure, the charity seeks to maintain the general reseNe at a balance of £45.OQO to £SO.OOa. representing
six months operating costs.
Al 31 March 2025, the cash reserves held in general funds amounted to £144.696 which VAII enable the charity
to spen¢J up to £120,000 on the new station area and other improvements wlhoul inhibiting the level of working
captal needed to manage day to day activities.
c. Material invoslments policy
The chanty5 Surplus fvnd5 are held in bank depowt accounts, which generate a small amount of interest but
have minimal risk lo the capiial invested.
d. Freehold land and bulldings
The charity owns approximately 16 acres of freehold land induded in its assets at cost.
structure. gov•rnan¢• and managomonl
. Constitution
Railworld is registered as a charitable company limited by guarantee and wa$ established on 1 March 1985 and
the Memorandum of Association was amended 9 Octobei 2008.
Page 12

RAILWORLD
IA Company Limited by Guarantee)
TRUSTEE5' REPORT {CONTINUEDI
FOR THE YEAR ENDED 31 MARCH 2025
Structure, governance and managem•nt (continu￿)
b, Railworld Trading LimTrted
Railworld Trading Limited was inc0￿018ted on 2 May 2017, as a whollywowned subsidiary of Railworld. On 20
January 2020 the charity hived down ils trading acliwlies lo Railwodd Trading Limited. The trading profits of
Railworfd Trading Limited are covenanted to the charity under a Deed of Covenant dated 20 January 2020.
c. Pdlethod5 of appointment oi election of Trustses
The management of the charty is the responsibilrty of the Tmstees Ytho are elected and co-opted under the
terms of the Memorandurn of Association.
d. Poli¢ies adoptsd for the indurtion and trnining of Tru$ts•$
Should the existing trustees consider il necessary lo appoint further trustees. they %￿Uld ensure that adequate
training was provided, and that any candidate would have the required skills in management and planning and
would have empathy with the objective5 of the charity.
e. Organisational structure and deci5ion-making policies
Railworld is based in central Peterborough, from which it operales a public visitor attraclion. The operation and
increment81 development is largely carried out by volunteers. R8iKvorld ernploys four part-time members of
staff. The trustees are involved in the day-today management of the charity during the year and expect lo
Continue to 8Gtively manage the charty for the foreseeable future.
The board of trustees meets ¥ minimum ol four times a year. to direct, review and monitor the work and
management of the charity.
There was a minimum ol six trustees Ihrou9houl the year.
f. Relatod party rel•ti¢n$hips
Some of the charity's trustees are also, indiwdually, involved in a number of other businesses and
organisab"ons, but there a￿ not any related party tran$a¢tions Tequiring dis¢105ure in the acctsunts.
9. Flnanclal rlsk managemont
The trustees actively review the major risks which the charity faces. The trustees believe that they have systems
in pla¢e to mitigate these risks.
Raiwld Tr$ ¢ommitted lo achieving its prin¢ipal obje¢tive$ and the trustee5 believe that thi5 1$ best attained by
keeping a strong liquid financial position. Although current interest rates are low. the fun(Js are protected
against tr)e risks of long-term impairment ol the values inherent tn other ftsrms of investment which Is of
paramount importance to a small charity.
The trustees continually monitor and review health and safety issues relating to the Railwortd site. During the
year. further maintenance has been made lo the car park to ensure pedestrian safely and enforcement of
parking lees.
Page 13

RAILWORLD
(A Company Limited by Guarante¢l
TRUSTEES, REPORT ICONTINUEOI
FOR THE YEAR ENDED 31 MARCH 2025
Members. liability
The Members of the charity guarantee to contribute an amount not ex￿e￿Ing £1 to the assets of the charity in
the event of winding up.
Fuiur• D•¥•lownents
The Board of Iru51ees has ¢ontinued to adopt the followng
RaI￿l￿d Wildlife Haven attraction's opening days align wth Nene Valley Railway
Improve the guided tours for visitors
Revlew merchandise and cafe products, tariffs and promob.onal efforts to in¢rea$e Sales an¢J profit margins
Progress Health and Safety priorities
Organi5e special family'themed, days independently and wth other associated environmental groups
Complete the rebuilding of the signal box lo ¢￿ale a bird hide and viewing plattorm
Construct a new main line viewng platform
Develop Nene Halt, a Swedish Rail Bike display created by the Morris Famity
Statement of Trustees. r•5ponsibiliV"•$
The Trustees (who are also the directors of the charity for the purposes of company lawl are ￿SpOnSible lor
preparing the Tru$tees' Report and the financial staternenls in accordance wth appIl￿ble law and United
Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practs'cel.
Company law requires the Trustees to prepare financial ststemenls for each financial . Under company law. the
Trustees must not approve the financial statements unless they are satisfied that ihey give a true and fair wew
of the state of affairs of the charity and of its incoming resources and application of resoulces, including Its
income and expen¢Jiture, for that period. In preparing these financial stalemenls, the Trustees are requifed to..
select svitable accounting policies and then apply them consistently.,
observe the methods and principles of the Charities SORP IFRS 102).,
make judgments and accountin9 estimates that ale reasonable and pwdenl,.
slate vthether applicable UK Accounting Standards IFRS 1021 have been followed, subject to any
rnaler+al departures disclosed and explained in the financjal statements.,
prepare the financial statements on the going concern basis unless it is inappropriate to presume thal the
charity wll continue in business.
The Trustees are responsible for keeping adequate accountsng records that are sufficienl lo show and explain
the charity's transactions and disclose wth reasonable accuracy at any time the financial position of the charity
and enable them to ensure that the finanual statements comply vmh the Companies Act 2006. They are also
responsible for safeguarding the assets of the charlty and hence for taking reasonable steps for the prevenb.on
and detection Qf fraud and other Ir￿gUIantr.es.
Approved by order of the members ol the board of Trustees and signed on their behalf by."
B T Pèarc• MBE
Chairnian
Date..
Page 14

RAILWORLD
(A Company Limited by Guarantee)
INDEPENDENT EXAMINER'S REPORT
FOR THE YEAR ENDED 31 MARCH 2025
Indeptrndènt Examinèes R•port to th• Trustees of Rallworfd I'the charlty.)
I report lo the charily Tw$lees on my examination of the accounts of the charity for the year ended 31 March
2025.
Responsibilitie5 and Basis of Report
As the Trustees of the charity land its directors for the purposes of company law) you are responsible for the
preparation ol the ac¢ounts in accordance wth the requirements of the Companies Ad 2006 Ilhe 2006 Act'l.
Hawng satisfied mysew that the accounls of the charity are not required to be audited undef Part 16 gf the 2006
A¢1 and are eligible for independent examination, I report in respect of my examination of the Gharitys accounts
carried out under section 14S of the Charities Act 2011 (￿e 2011 Act'l. In carrying out my examination I have
followed the Direetions given by the Charty Commission under seth'on 145(5)(b) of the 2011 Aci.
Indèpendent Examinerfs Stst•m8nt
I have cornpleled my examination. I confirm Ihal no matters have come lo my attenlion in ¢onneetion wth the
exarnination giving me cause to believe..
accounting records were not kept ir• fespect of the charity as required by section 386 of the 2006 Act.. or
the accounts do not accord those records.. or
the accounts do not comply wth the accounting requirements of sedion 396 of the 2006 Act other t+)an
any requirement that the accounts give a 'true and fairf wew which is not a matter conSide￿d as part of
an Independent examination., or
the accounts have not been prepared in accordance with the methods and principles ol the Statement of
Recommended Practice for ac¢ounting and reporting by charities lapplicable lo charities preparin9 their
accounts in accordance vAlh the Financial Reporting SlanL1ard applicat4e in the UK and Republic of
Ireland IFRS 10211.
I have no conceTn5 and have come across no other matters in connection wth the examination to which
Zttention should be drawn in thi$ report in order to enable a proper understanding of the accounts to be
reached.
This report Is made solely lo the ¢harity's Trustees. as a body. in accordance s*th Part 4 of the Charities
(Account5 and Reports) Regulations 2008. My work has been undertaken so that I might state to the charitys
TTUStees those matters l am required to slate to them in an Independent Exarniner's Report and for no other
purpose. To the fullest extent pemitted by law, I do not accept or assume responsibility lo anyone other than
the charity and the Charity's Trustees as a body, for my work or Yor this report.
Signed..
Dated..
&J&C
Jonathan Day
FCA
Street5 Charterefj Accountants
Enterprise Court. 38 Tyndall Court. Commerce Road, Lynchwood. Peterborough. Cambs PE2 6LR.
Page 15

RAILWORLD
IA Company Limited by Gu•rnnt¢el
STATEMENT OF FINANCIAL ACTIVITIES (INCORPORATING INCOME AND EXPENDITURE ACCOUNT)
FOR THE YEAR ENDED 31 PIARCH 2025
Unrestricted
funds
2025
Total
funds
2025
Total
funds
2024
Note
Income from-.
Donations and legacies
Charrtable activities
Oiher trading activitie5
Investments
20,757
48,284
870
20,757
48.284
870
1.272
48.556
44,087
1,272
1, 180
Total income
71,183
71.183
93,823
Expèndlture on".
Charrtable activities
105.971
105.971
67,T84
Totsl exptnditurt
105,971
105.971
67,784
N•t movement in lund
134,788)
134.788)
26,039
Reconciliation of fund5:
Total funds brought forward
Nel movement in fund$
1,323,226
134,7881
1,323,226
(34.7881
1,297, 187
26,039
Total funds carried forward
1.2B8.438
1,288,438
1,323,226
The Stslement of Financial Activities includes all gain5 and losses recognised in the year.
The notes on pages 19 to 30 form part of these financial statements.
Page 16

RAILWORLD
(A Company Limltsd by Guar¥ntse
REGISTERED NUMBER.. 01891491
BALANCE SHEET
AS AT 31 MARCH 2025
2025
2024
Nole
Fixed assets
Tangible a55e15
Investments
12
1.121,694
100
1, 124,522
100
1.121.794
1,124,622
Current assets
Debtors
14
24.748
144.696
35.202
170,397
Cash at bank and in h8n
169.444
205.599
Current liabiliti•s
Creditors.. amounts falling due within one
year
15
12.8001
(6.995)
Net current assets
166,644
198,604
Total assets less ¢urront liabilities
1.288,438
1,323,226
Total n•t assets
1.288,438
1,323,226
Page 17

RAILWORLD
IA Company Limited by Gu•rantee)
REGISTERED NUMBER: 01891491
BALANCE SHEET ICONTINUEDI
AS AT 31 MARCH 2025
2025
2024
Note
Charlty funds
Reslricled fvnds
Unrestricted funds
18
16
1.288.438
1,323.226
Total funds
1.288.438
1,323,226
The charity was entrtled to exernpts'on from audit under seclion 477 of the Companies Act 2006.
The members have not required the company lo obtain an audit for the year in question in a¢¢ofdan¢¢ wrth
section 476 of Companies Act 2006.
The Trustees acknO￿edge their ￿SponSIbl11t￿eS for comptying wlh the requirernenls of the Act wlh respect to
accounb'ng records and preparation ol fin¥nci¥l $talements.
The financial slalemenls have been prepared in aGGordance wilh the provisions applicable to entities subiecl to
the small companies regime.
The financial st*eme￿5 were apprtsved and aulhorised for issue by the TnJstees and signed on their behalf by..
8 T P•ar¢* MBE
Chairrnan
Date..
The notes on pages 19 to 30 form part ofthese financial slalemenls.
Page18

RAILWORLD
IA Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Goneral inform•tion
AS Set out in the trustees. report, Railworld. is an incorporated charity registered ir> England and Wales.
The address of their ￿gIstered office 1$ Oundle Road. Peterborough. Cambs. PE2 9NR.
The financial statements are prepared in sterling, vthich 1$ the fun¢tional curfftn¢y of the enlily.
Accounting policies
2.1 Basis of preparation of fin#n¢lal statements
The finanaal statement5 have been Prepared in accordance with the Charits"es SORP IFRS 102) -
Accounting and Reporting by Charities". Statement of Recommended Practice applicable to charitie$
preparing their accounts in accordance vJith the Financial Reporting Standard applicable in the UK
and Republic of Ireland {FRS 1021 {effective 1 January 20151. the Financial Reporting Standard
applicable in the UK and Republic 01 Ireland IFRS 1021 and the Companies Ad 2006.
Railwtsrfd meets the definits'on ol a public benefit enthty under FRS 102. Assets and liabilrties are
initially recognised at historical cost or transaction value unless otherwise stated in the relevant
aGcounts"ng policy.
2.2 Inc¢mo
All income is recognised once ihe charity ha5 entitlement to the income. il is probable that the
income will be received and the amount of income receivable can be measured reliably.
Income tax recoverable in relation to donations received under Gift Aid OT deeds of covenant is
recognised at the time of the d¢)nation.
Income from the provi510n of $ervice5 falling wthin the company'$ ordinary adivilies, for exarnple
from takings for admissions. is recognised on receipt, net of Value Added Tax (where applicable).
2.3 Expenditure
Expenditure is recognised once there is a legal or constnjctive obligation to transfer economic
benefit to a third party, rt is probable that a transfer of economic beneffts will be required in
Settlement and the amount of the obligation can be measured reliably.
Expenditure on ¢haritable activities is incurred on directly undertaking the activities which further the
charity's objectives, as well a5 any associated support costs.
All expenditure is indusve of irrecoverable VAT.
2.4 Interest r•ceiv•bl•
Interest on funds held on deposit is included when receivable and the amount can be measured
reliably by the charity.. this is nornially upon notrficalion ol the interest paid or payable by the
institution wrth whom the funds are deposited.
Page 19

RAILWORLD
(A Company Limltèd by Guarantèt)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENOED 31 MARCH 2025
Accountlng pollci•s {continuedl
2.5 Tangible fixed assèts and dèprèclatlon
Tangible Iixe<l assets a￿ initially iecognised at cost. After recognition, under the cost model.
tan9ible fixed assets are measured at cost less accumvlated depreciation and any accumulated
impaimient losses. All costs incurred to bring a tangible fixed asset into its intended working
con(Jits'on should be included in the measurement of ￿$1.
In addition to the charitys a55els classified as Land and Buildings and Plant and Machinery (note
111 Railworld owns a number of heritage assets, which are standing exhibits. C05t information is not
available for these assets and conventsonal valuation approaches lack sufficient reliabilty for these
assets to be included in the account5.
Depreciation is charged 50 as lo allocate the ¢ost of tangible fixed assets less their tesidval value
over their estimated useful lives.
Depreciation is pn)vided on the following bases..
Freehold property
Freehold footbridge 1.7% per annum straight
line.
Freehold buildings 10% per annum straight line
Prefabricated buildings 25% per annum
$traight line
Freehold land is not depreGialed
20% per annum straight line
20% per annum straight line or reducing
balance
20% per annum straight line or reducing
balance
Plant and machinery
Fixture5 and fittings
Computer equipment
2.6 Investments
Fixed a55et inve5trnenls are a form of financial instrument and are initially re¢ogni$ed at their
transaclion cost and subsequently measured al fair value at the B3lance Sheet date, unless the
value cannot be measured reliably In whi¢h ¢ase it is measured at cost less impairment. Investrnent
gains and losses. whether realised or unrealised, are combined and presented as 'GainsllL05ses}
on inveslmenl$' In the Slatement of Finanaal Activities.
Investments in subsidiaries are valued at cost les5 provision for impairment.
1.7 Debtors
Trade and other debtors are recognised at the $etUement amount after any trade di$¢ount offered.
Prepayments are valued at the amount prepaid net of any trade discounts due.
2.8 Cash al bank and in hand
Cash at bank and in hand includes ¢ash and Short-lemi highly liquid investments with a short
maturity of three months or less from the date of acquisition or opening of the deposit or ssmilar
account.
Page 20

RAILWORLO
(A Company Limitsd by Guar¥nts8)
NOTES TO THE FINANCIAL STATEMEMTS
FOR THE YEAR ENDED 31 PAARCH 2025
A¢¢ounting poli¢i•$ Icontinuodl
2.9 Liabilitie$ and provi$lons
Liabilitie5 are recognised when there 15 an obligation al the 8alance Sheet date as a result of a past
event, it is probable that a transfer of economic benefit wll be required in settlement. and the
mount of the settlement ¢an be estimated reliably.
Liabilities are reGogni$ed al the amount that the ¢harity anliGipate$ it pay lo setue the debt or the
amount it ha$ received as advanced payments for the goods or services it must provide.
Provision5 are measured at the best estimate of the Bmounts required lo settle the obligation. Where
the effect of the time value of money is material, the provision is based on the present value of those
amounts, discounted al the pre-tsx discount rate that reflects the risks Specific to the liability. The
unwnding of the discount is recognised in the Statement of Financial Activits'es as a finance cost.
2.10 Financial instruments
The charity only has financial as5et5 and financial liabilibes of a kind that qualify as basic financial
instruments. Basic financial instrument5 are initially TeGogni5ed al transaction value and
subsequently measured at their settlement value with the exceptson of bank loans whith are
subsequentsy measured al amortised cost using the effe¢tive interest method.
2.11 Fund accountong
General funds are unrestn¢ted funds which are availabl¢ for use at the discretion of the Trustees in
furtherance of the general objectives of the charity anL1 which have not been designated for other
PIITposes.
Critical accounting estimat•$ and •r••$ of judgm¥nt
Estimates and judgments are ¢ontinually evaluated and are based on histoncal experience and other
factors, including expectath'ons of future events that are believed to be reasonable under the
ircumstsnces.
Crili¢al accounting estimates an¥J a$$umptions".
The charity makes estimates and assumption$ conceming the future. The resulting accounting estimates
and assumptions wll, by definits'on, seldom equal the related actual results. The estimates and
assumptions that have a significant risk of causing a material adiustment to the carrying amounts of
assets and liabilities wlhin the next financial year are discussed below.
Critical areas of judgment..
Tangible fixed assets are recognised at cost or valuation, less accumulated depreciation and any
impaimients. Depreciation lakes place over the e5tsmaled useful life, down lo the a55essed residual
value.
The carrying amount of the company's fixed assets is tested as soon as changed conditions show that a
need for Impairment has arisen.
Page21

RAILWORLD
IA Company Limitsd by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Incom• from donations and legacies
Unrestricted
fund$
2025
Total
funds
2025
Total
rtjnds
2024
Don¥tlons
RaI￿O￿d Trading Limited
Other donations
Donations
15,924
6,833
12,0001
15.924
6.833
{2.0001
41,832
6, 724
20,757
20.757
48,556
Income from charitsble #Ctivlties
Unrestricted
funds
2025
Total
funds
2025
Tolal
funds
2024
Entrance fees
48,284
48.284
44,087
Income from other trading activities
Income from fundrai$ing events
Unrnstrl¢tsd
funds
2025
Totsl
funds
2025
Tol81
lunds
2024
Car parking and room hire
870
870
Page 22

RAILWORLD
{A Company Limited by Guarant••}
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Investm&nt Incomo
Unr•stricted
nds
2025
Total
funds
2025
Total
lunds
2024
Bank Inte￿St received
1.272
1,272
1, 180
Analysi5 of expgnditure on charitable activities
Summary by fund type
Unrestricted
funds
2025
Totsl
2025
Total
2024
Visitor attraction
105.971
105,971
67.784
Pa9e 23

RAILWORLO
IA Company Lim•t•d by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Analysis of expenditure by activities
Activities
undertakèn
directly
202S
Support
osts
2025
Total
funds
2025
Total
funds
2024
Visitor attraction
103,129
2.842
105.971
67,784
Total 2024
64,784
67,784
Analysis of dir¢¢t costs
Total
funds
2025
Totsl
funds
2024
Depreciation
Visilor leaflets and publicity
Postage and stationery
23.232
7.792
913
20.572
4.867
901
É ij
Bank charge$
Site development and repairs
Heat and light
Insurance
Telephone and broadband
Equipment repairs and renewals
Professitsnal fees
Sundry expenses and subscriptions
Accountancy fees
606
52.564
8.068
6.704
418
2,825
42,213
9,910
4,328
564
2,142
f28,457J
4,906
13
607
2.225
103,129
64, 784
Page 24

RAILWORLD
IA Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
10.
Indgpondent examine￿S romuneration
2025
2024
Fees payable lo the charit￿5 independent examiner for the independent
examination ol the charity's annual acEounl$
3,180
2,880
11.
Trustees. remuneration #nd èxpenses
During the year. no Trustees receive¢J any remuneration or other benefrts (2024 - £NILJ.
Two trustees received reimbursement for materials purchased for specific proie¢ty, amounting to £12,474
12024 £17,027) dunng the year. Trustees and other volunteers are authorised to purchase materials and
other goods on behalf of the ¢harity in 511ualions vlhere the need is urgent and nom)al credit facilib.es are
not available.
12. Tangiblè fix•d as$•ts
Freehold
property
Plant and Fixtures and
machin•ry
fittings
Computer
equipm•nt
Total
Cost or valuation
At 1 April 2024
Additions
1,480.679
17.935
45,124
1.131
38,087
11,543
1.338
1.575,433
20,404
At 31 March 2025
1,498,614
46,255
38.087
12,881
1.595.837
D•preciation
Al 1 April 2024
Charge for the year
391,655
13.518
24,011
6,104
24,70S
2,796
10,540
B14
450,911
23.232
Al 31 March 2025
405.173
30,115
27,501
11.354
474.14J
Not book value
At 31 March 2025
1.093.441
16.140
10,586
1.527
1.121.694
Al 31 March 2024
I.t￿,024
21,713
13,382
1,003
1, 124,522
Included in Ireehold property is land at cost of £1,012,20012024- £1,012.2001 which is not depreciated.
Page 25

RAILWORLD
IA Company Limit•d by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
13.
Fixed asset investments
Investment$
subsidiary
cornpanies
Cost or valuatlon
At 1 April 2024
100
At 31 March 2025
100
Net book value
At 31 Mareh 2025
100
Al 31 March 2024
100
Principal subsidiariès
The followng was a subsidiary undertaking of the charity..
Mame
Company
numbtr
Registered office or principal Principal activity
placè of buslnÈss
Railworld Trading Limited
10747668
Railworld. Oundle Road,
Peterborough, PE2 9NR
Management of car
park, leth'ngs, shop
and cafe
Class of
share5
Holding
Included in
¢onsolidati¢n
Ordinary
100% No
The financial results of the subsidiary for the year were..
Name
Income
EX￿ndItUrn
N•t assèts
Railworfd Trading Limited
70,S01
70.501
100
Page 26

RAILWORLD
(A Company Limited by Guar¥ntoe)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
14.
D•btors
2025
2024
Due within one year
Amounts owed by group undertakings
Other debtors
12.386
539
25,928
539
Prepayments and accrued Income
11.823
8,735
24,748
35,202
Is. Cr•ditors: Amounts falling du• within one y¢ar
2025
2024
Accruals and deferred income
2.800
6.995
Page 27

RAILWORLD
IA Company Limited by Guarant•¢l
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
16. Statemfrnt of funds
Statem•nt of funds . ¢utt•nt y¢ar
Balance at
31 Ma¢¢h
2025
Balance at 1
April 2024
Transfers
inlout
Income Expenditure
Unrestrleted fvndg
Fixed as$el fvnd
G*n*ral lund
1,124.S22
198,704
{23,232)
{82,7391
20,404
120,4041
1.121.e94
166.744
71,183
1,323.226
71,183
1105,971)
1.288,4J8
Statement of fund5 - pfioT y•ar
Balance al
31 Mar¢h
2024
8alance al
l Apnl 2023
Transfers
inloul
Income Expendilure
Unr•$tri¢ted funds
Fixed asset fund
General lund
1, 123,292
173,895
(20,572)
(47,212J
21,802
(21,802J
1, 124.522
198, 704
93,823
1,297, 187
93,823
(67. 784)
1,323.226
Page 28

RAILWORLD
(A Company Limlt•d by Guarantee)
NOTES TO THE FINANCIAL STATEMENT5
FOR THE YEAR ENDED 31 MARCH 2025
16. Statemgnt of funds l¢onlinu•dl
General Flxod Asset Fund - The general fixed asset fund represents assets which are owned by the
charity and used in furtherance of its charitable objects.
General Fund The general fund represents the charity'5 free reserves which a￿ available as cash or
liquid resources to be used in furtherance of rts charrtable objects. Th& trustees expect to use some of
the general funds to make changes and improvement5 to the car park and entrance area and to install
new lighting and a heat pump in a new Iviclorianl station building ¥thich is expected to arrive al the
Railworfd site in 2024125.
17.
Summary of funds
Summary of funds- current year
Balance at
31 March
2025
Balance al 1
Aprll 2024
Transf•rs
Inlout
Income Expèndlture
General funds
1.323,226
71,183
1105.971)
1.210.438
Summary of fund$ - prior y¢av
Balance at
31 MarGh
2024
8alanc8 al
l April 2023
rransfers
in/ou¢
Income Expenditur8
General funds
1.297. 187
93,823
(67, 784)
1,323,226
18. Analysi$ of net assèts b•iween funds
Anatysi5 Of not assets b•tw••n lunds- curY*nt yèar
Unr•stricted
funds
2025
Total
funds
2025
Tangible fixed assets
Fixed asset investments
Current assets
1,121,694
100
169,444
12,800)
1.121,694
100
169,444
12.800)
Creditors due wilhirt one year
Total
1,288,438
1,288,438
Page 29

RAILWORLO
{A Company Limited by Guarantee)
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCH 2025
Analysis of net assets between funds Iconlinued?
Analysis of net ass•ts betsveen funds - prior y¢•r
Unreslricted
funds
2024
Total
funds
2Q24
Tangible fixed assets
Fixed asset investments
Current 85se15
Creditors due ￿rythIn ofte year
1, 124,522
1t)O
1. 124,522
100
205,599
16,995)
205,599
(6,995}
Total
1,323,226
7.323.226
19. Contingent li•biliti•s
A ¢ontingent liability is recognised in the amount of £28,761 12024 £28,761) lor consultancy services
provided by Warwck 8u$ine$s Management Limited in conneth'on wth the potential sale Df land.
20. Members. liability
Each member of the charitable company undertakes to contribute to the assets of the company in the
event of it being wound up while helshe is a mernber. or wthin one year after helshe ceases to be a
member. such amount as may be required, not exceeding £1 for the debts and liabilrties contracted
before helshe ceases to be a member.
21.
Rèlatèd paty transactlons
The charity's income includes a donation of £13,924 12024 £41,832) from Railworld Trading Limited, ils
subsidiary undertaking. At the reporting date, Railworld Trading Limiled owed the charity £12,38612024
£25.9281.
Page 30