FINAL 2510212025
CYMDEITHASAMAETHYDDOL MEIRION CYF
DIRECTORS, REPORT AND FINANCIAL STATEMENTS
YEAR ENDED 31 DECEMBER2024
Co No.
11893027
Harold Smith
CharteredAccountants
Criccieth

FINAL 2510212025
CYMDEITHASAMAETHYDDOLMEIRION CYF
CHARITY INFORMATION
YEAR ENDED31 DECEMBER 2024
Cymdeithas Amaethyddol Meirion Cyr is a Registered Charitygoverned by a
Memorandum & Articles ofAssociation dated 24 June 1998.
Registered Office-
Cymdeithas Amaeth Melrionydd Cyf
Nant y Glyn
Lon Ednyfed
Criccieth
Gwynedd
LL52 OLD
Charity Registration Number:
Company Registralion Number:
500759
11893027
Directors.
Secretary
Directors
Mr E DouElas Powell
Mr R Dewi Owen
MrEdward Hedd Pugh
Mr Arwel Roberts
MITrefor Hughes
MrHuw Lloyd
Independent Examiner:
Harold Smith
Chartered Accountants
29 High Street
CRICCIETH
Gwnedd, LL52 OBS
Bankers:
HSBC BankPIc
CONTENTS
Contents and Informatlon
Direclors, Report
Independent Examiner's Report
Statement of Financial Activities
Page I
Page 2
Page 3
Page 4
Page 5
Pages 6-10
Balance Sheet
Notes to the Accounts

FINAL 2510212025
TRVSIEES, REPORT
TheTr¥sieÈs presenlthelrreport andtheaccountsoflhe¢harityfortheYearended31 De¢embef 2024.
OBJECnVES OFTHE CHARfTh AND ITS PRINCIPALACTIVIIIES
The objectives Df the Societyare io promote Agri¢ulrure by hotding an annvalAgrlcullure Shmv in the lumer County of Meiioneih foi Ihe
exhibltlon of larFning siock. implement5 and pioduce. Wilh a wew lo irnpioving ihe breeding ol b'vestock and promoting the adopThon ol
improved methodsof larming.
REVIEWOFTHE YEAA
nh9lllon Chwelrw2ts25
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•Aelodaèlh
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Ston¢inau masnachH￿4￿ddoa W5ebJ
RESEAVES POLICY
The B03rd reported on Ihe Society's Fixed and Curyeni Asseis Is continually se¢kinB 10 saleiNrd Iheir overall vaiutr subieci to the
overall re5ulliwOpefaiionalActivitiesat¥J a150the perform3nceiis Invesimenls.
TANGIBIEFIXEOASSETS
Thesocietys Fixed a55els are lisiedlogelherwyththeir depreclatedvaiue a5allheyearend.
RESPONSIBIUTIES OP7BUSTEES
A Trustee is & peison loirnally appoi4ied 10 manège the a55ets ol Society tor the benefrtof the benef*iarie5 In accordance with Ihe
ObjÈciNesofthe SoC￿ty.
Toasceirainthe naiure 0llheso¢￿tyand lo manage saleguaid it5Assels
TomaiTrtsin clear ano ÈtcuraiefinÈn¢i8liecoids and Bccounts
To exeicise a 5tabndardolcare in the rnan3gemeniollbe Society
Trustees 5*ouldexeFc15e Ihe ulmo$i cautlan in lulllluingihe duties imposed Onlhem. Ytheiher by operaiion ol lowoT byspecilic termsot
Ine Memorandum Of Articles. CoTe thoulo bp taken io review and UndeFsiènd The relevant truSI Insiiumeni and IhÈ fiduciary ttuiies
lmposedbyiawandspeciali￿81fvlce$h0uldbe￿0ugThtWhere appiopriate.
Approvedbythe Board on Ihe..............--..........-.-...and signed oniheiFbehaiity-.
EDougias Powell
E Dtyjoas Poweii
cHAR￿V3EcBtTARy

FINAL 25102/2025
INDEPENDENTEXAMINERS, REPORTTOTHETRUSTEES OF
CYMDEITHAS AMAETHYDDOL MEIRION CYF
We report on the accounls ol the charityfor the year ended 31 December 2024 which comprise the
statement of financial activities and Balance Sheet and the related notes.
Respective responsibilities of trustees and examiner;
The charity's trustee5 are responsible for the preparation ol the accounts. The charity's trustees
consider that an audit is not required for this year undei section 144 01 the ChaTlties Act 2011
(the Charlties Actl and that an independent examination is needed.
It is our reponsibilitylo..
examlne the accounts under section 145 oflhe Charities Act,
lo follow the procedijres laid down in the general Directions given bythe Charity
Commission (under section 14515llbl of the Charities Act. and
to stale whether particular matters have come to my atteniion.
Basls of Independent examlner's statemenl
Our examination was carried oul in accordance wilh General Directions given bythe Charity
Commission. An examlnation includes a review of the accounting records kept by the charity and a
comparison of the accounts presented with those records. It also includes consideration of any
unusual items or disclosures in the accounts, and seeking explanations from the trustees
concerning any such mattels. The procedures undertaken do not provide all the evidence Ihat would
be required in an audit, and consequently no opinion is Eiven as io whether the accoijnts present a
true and fair. view and the report is limited to those matters set out in the statement below.
Independent examiner's statement
In connection with myexaminalion. no matter has come to our attention
which gives us iea50nable cause to believe that in. any material respect. the requifements:
to keep accountine recoids in accordance with section 130 of Ihe Charities Act: and
to prepare accounts which accord with the accounling records and comply with Ihe
accounting iequirements of the Charlties Act have not been met., or
2. to which. in our opinion, attention should be drawn In order lo enable a pioper understanding
of the accounts to be reached.
Dated .
Simon Murray-williams FCA
for and on behalf of
Harold Smith Chartered Accountants
St. Asaph Business Park
Denbighshiie
LL17 OJA

FINAL 2510212025
CYMDEITHASAMAETHYDDOL MEIRION CYF
STATEMENT OF FINANCIALACTIVITIES
Summary Income and Expenditure Account
YEAR ENDED 31 DECEMBER 2024
Toial
Total
Unrestricted
Restricted
Funds
Funds
Funds
Funds
31122024
3112 2023
In¢omlne Resourets
Notè
raredf
Direct Charitable Income
Income from Investments
87,900
87,900
16591
85,368
6,351
16591
Giants Received
Total Incomlng Resoufces
87,241
87.241
92.719
Resources Expended
Direct charitable expenditure
Giants expenditure
Depreciation
Governance costs
87.661
87,661
90.199
2,169
991
2,169
991
876
Total Resources Expended
90,821
90,821
93,037
Net Movement In Funds
13,5801
13.5801
11,3181
Balances brought forward al 01 January2024
Balances Carried forward at 31 December 2024
114,645
111,065
6,536
6,536
121,181
117.601
122,499
121.181
Movements on reserves and all recognised gains an¢J losses are shown above.
The notes on pages 6-10 form part ofthese Accounts.

FINAL 2510212025
CYMDEIYHASAMAEfHYDDOL MEIAIONCYF
IALANCESHEET ASAT31DECEM8ER2024
Total
Totsl
UThrestrlcted
Restrttted
Funds
Fun0$
Funrts
Fvnds
31122024
3112 2023
Note
FIXEDASSETS
Tanwble FixedAssets
15.912
IS,912
15,912
14,199
14,199
15,912
CURRENT ASSErs
Debtors
1.280
1,280
113,580
114.860
2.87S
Bankand cash balanees Inc Premium Bonds
14
113.580
113.475
114,860
116,350
cURRE14TLI￿1LffIE$
9,065
9.065
7,406
NetcUr￿MtAsSPts
J17,801
117.601
121,181
LFABILMESDVEAFTEA IVEAR
io
NET ASSETS
117,601
117.601
121.181
FUNDBALANCES
Unresriicied Funds
114,645
3,580
114.645
115,*3
1,318
6,536
Movement
3.580
Reslricied Funds
6.536
6,536
Movement
111.065
6.536
117,601
121,181
Foi IhesEarended31 De¢¢mber2(1241he componywasenlitleLltoexempriofjfTomauditundef Section
477olthe Comp8niÈsAtt2006Kelaiingto sffjall Companies.
Responsibilities of DiieciOWTw5rees.'
ThemÈmbeTS havenotreouJr8fllhe chaffitable companyto obtOAnafjaudiiolitsAccounts fortfie
yÈaiin qué$tionwithSection47601the ComwniesAccount.
The DiffettOTs/Tnislees aeknowlerl¥e lheirre5ponslb￿ItlesrorC0mpI￿￿1wj[hlhe requiimeNJ¢s of
rhe Compon*sA¢tWilhrespecttoa¢¢ounlingrecords 8￿￿the￿￿parali0n0lACcotsnts.
TheSeAccountsha￿beenpfepa1ed1￿a¢cOr£¢8nce wifh thÈprowsionsapplic8ble io comp8nies
subjÈ¢tto the smallcomp8nhésffegime.
Approved bythe Board on Ihe
and signEd on Iheii beh81f ty.,
ChtrityNumber'.
500759
The noteson pages 6-10 loim part oflheseA¢counts.

FINAL 2510212025
CYMDEITHASAMAEfHYDDOL MEIRION CYF
NOTESTO THEACCOUNTS
YEAR ENDED 31 DECEMBER 2024
ACCOUNTING POLICIES
The principal accounting policies adopted, judgements and key Sources of estimation uncertainty
in the preparatlon ol the financial statements are as follows..
Bas1$ ol preparatSon
The financial statements have been prepared in accoidance with Accounting and Reporting
by Charities.. Siatemenl of Recommended Practice applicable lo charities preparing their
accounts in accordance with ihe Financial Reporting Standaid applicable in the UK and
Republic of Ireland IFRS 1021 leffective l January20151- IChaTlties SORP IFRS 1021. the
Financial Reporting Standard applicable in the UK and Republic ol Ireland IFRS 1021 and the
Companies Aci 2006.
Meirioneth Agricultural Society meets the delinilion of a public benefit eniity under FRS 102. Assets and
liabilities are initially recoEnised at historical cost or transaction value unless Othe￿iSe stated in
the relevant accounting policy rbotelsl.
The trustee5 have a reasonable expectalion ihat the charity has adequate TesoLJrses to continue in
operation31 existence lor the foreseeable future. The charitytherelore continues to adopt the going
concern basis in preparing its financial slalements.
Reconciliation with prevlous GenerallyAccepled Accounting Pfacllce
In preparing the accounts, the trustees have considere(I whether in applying the accounting policies
required by FRS 102 and The Charities SORP FRS 102 the iestalement ol comparative items
was iequired. The trustees have reviewed Ihe transactions and have determined that no
amendment to the comparalive fiEures is required, other than a presentational amen(Jment.
Donated income and grants receivable ale taken into account when receive(J bythe charity.
Income received in ciicurnstances where a claim loi iepayment ol tax has been or will be
made to HM Revenue & Customs is grossed up lor the tax recoverable. Any amount ol tax
reclaimed liom HM Revenue & Cusloms but not yet received is shown withirb the chaKity's
debtois.
bl QItRLlnoo.u
Investment income is taken into account when receivable and experiditure, including
ir¥ecoverable VAT, when incurred by the charity, regardless ol when payment is made.
Gianls payable are taken into account at the earlier ol when they ale paid or become
constructive obligations.
ur
Unrestricted funds are donations and other income received or Eenerated for the objects of
the charity without specified purpose and are available for purposes as directed by Ihe
Trustees. Restiicied funds are amounls received where the donor has specified the purpose
for which il should be used.

FINAL 2510212025
CYMDEITHAS AMAETHYDDOL MEIRION CYF
NOTES TO THE ACCOUNTS
YEAR ENDED 31 DECEMBER 2024
Fixed Assets acouired for use bythe chaiity are capitalised and depreciated over their
estimateij useful lile unless they are of low value when they are written off on purchase.
Assets aTe deprecialed on the straight line basis at the following rates=
Storage Building
ShowEquipment-
Metal
io%
Wood
20%
Cup5 & Trophies
Office/Sec Equipment
Printing Equipment
io%
33%
20%
The company is a registered charity and is exempt from taxation under the Income &
Corporation Taxes Acts.
11 Cash Flow
The company has taken advantage of the exemption provided bythe Financial Reporting
Standard and has not prepared a Cash Flow Slatement for the yea¥.

FINAL 2510212025
CYMDENHASAPIAETMYDDOLMEIAION¢YF
NOTES707HEACCOUNIS
YEAAEIIDED31DECEMOER2024
INCOME
Total
Total
GeTrerai
5oclety
SI12￿14
31122ts23
MernbeishlpB.O.
Member5hThiCèsh
4.854
4.8
4.Y42
4.347
4,347
iJ5
Ranle Proes
135
1.573
1.$73
EntryFees-EntryForm
EntyFee5-Dots
EniryFÈe5
TrattÈStand$
4,623
1È24
628
8.192
2.124
17.941
17.941
19.163
TTade Stands. Onbne
Sole Rilhis
Dog¢41¥￿gUes
G3￿ReceiptS
Special Pr￿eS
2.868
41,7QO
2.868
4,700
5,000
37,057
37,•57
34,167
69r*
S50
i.ioo
Srh)n$or5hip
SaleolSts8w
4,850
Gianis RÈcÈi¥ed
IweTestlYom MoneyMaikei+ Bank
hEiea$elDecieèseinVaiue Ch4rincv
Hileolsh￿•EqUIPrnent & Sale olstraw
Wirtten
350
3SO
1,707
1.000
Roseites instockaiyeaf End
07JOO
8?.Z43
91,71
DIRECVCHARITAbLEEXPEtIDfFURE
Tolal
Totsi
Gtnerthl
Restrlcted
31122024
31 122023
Athernslng
Atiraciions
1.354
X.354
1,5Q9
500
500
HorsEJuros
D4gExpEnses
Alhli*iOn FÈÈ5
sso
550
811
811
765
52
1.764
42
1,20D
132
42
2,097
2,097
460
l247
ILM1Ees
Lufiches
460
925
2.317
2.317
2,134
LWt& Heat
Trophi9$ and Meda
PnntinE.Ro$¢lle5, Badges
Posiage
Pnig Money
PublicAOdre55Systsm
ts6
81
7.74$
7,745
4511
7267
X,97ts
7.J85
4.511
7.267
7,S70
2.2
1.975
1.000
Room Hire
455
455
461
S*¢relaNaUAdmlnSÈMr?$
sBCietenalExpensÈs￿l1yel
sh￿rOUndReD1
PFewrèNon tslshowground
51e4vaids-GatÈlCat Pa
10.500
2,744
s.000
io,soo
1.53ts
2,744
s.000
.002
4002
1.4QTr
1.4QO
1,000
365
sund1￿5

FINAL 25102n025
SocietyAGM
Shuttlè Bu$Se￿ce
400
35
Stiaw
T•lephone
Tents&MaTque$s
T041ets
250
250
13.316
13.316
23,592
3,4D2
3.300
2.198
2.191
Webs
946
nk Chai8es
HMRC
338
475
loo
20?
Rent
5.000
5.000
NtsSocietysecFetary
Stoiage Building-GroundReni
2.500
2.50ts
2.SOts
500
500
991
1,893
1,962
Depretiatitrl
2.169
I169
9OM21
90,621
93.037
GIiANf$pAYABLE
31 122024
31122023
OOVEAMINCE
Total
31122024
31122023
al0￿sMith Partnership
991
876

FINAL 2510212025
CYMDErrHASAMAETHYDDOLMEIRION CYF
NOTESTOTHEACCOUNrs
YEAR ENDED 31DE¢EMBER2024
TANGIJLEFIXEOASSETS
Show
Eqvlpment.,
Melal
Show
Equlpment..
Wood
cups &
Tiophles
OftSceiS•c
Equlpmeht
Pdnti
Str*roEe Bulldlthg
Equlpment
Total
Cost..
Al lJanu3ry2024
Disposals intheyear
Adoitions in Ihe year
3.218
6.815
1.879
506
1,883
16.301
1,380
272
128
1,760
A131 Decembei2024
3.218
8.195
1.879
2,272
1.883
18.081
Accumulated Deprec￿atIon
At lJanuary2024
Char8e in the year
Al 31 December 2024
161
820
376
227
209
377
2.169
N¢tbookvalue'.
At31 December2024
3,057
3.048
7.376
6.058
1.503
2.045
425
1,507
15,912
14,199
Al 31 Decembei2023
1,502
303
1,328
loial
31122024
7otal
8 DEBTORS
31122023
Trade Debtors
1,280
2,875
1,280
Total
g ¢AEDITORS- LIA81LITIES FALLING DUEwrrHIN ONEYEAR
3112￿24
31122023
Cieditoffs and Accruals
9,065
7.406
Total
31122024
Total
31 122023
10 CREDITORS- LIABILITIESFALLING DUEAFfER 0>4EYEAR
Inieresl bearin£ Loanl'l

FINAL 25/0212025
CYMDEITHAS AMAETHYDDOLMEIRION CYF
NOTES TO THE ACCOUNTS
YEAR ENDED 31 DE¢EMYER2024
li
RESTRICTED FUNDS
The restricted funds represent arnounts received for specific purposes and the
movements in yeat are as follows..
Openlng
balance
In¢omlng
Resour¢¢s
Outgolng
Resources
Transleis In
the year
Closlng Balance
Unrèstri¢ted Funds
114.6d5
87,241
90.821
111.065
Restricted Funds
6,535
6,535
121,180
87.241
90.821
117,601
12
RELATED PARTYTKANSACTIONS
Olherthan the above no amounts were paid 01 are payable to anytrustee or to any
person connected io them otherthan reimbursemeni of expenditure incurred on behalf ol
the Trusi.
13
MEMBERS
Each member of the chafity undertakès lo contribute il the charity is wound up an
amouni noi excèediThg£lO.
14
8ANK& INVESTMENTS
Total
Total
3112 2024
31122023
HSBC Business Bank Account- Carn Cyf
HSBC Cornmercial Caid Account
4,046
3,200
520
465
Bla¢kRock UK Bond Fund ai 31.12.2Q24
106,099
106,758
HSBC 8usine55 Bank Accouni- MAS
2,390
2.526
Premium Bond
525
525
113,580
113,474