REGISTEREDCOAIPANY NUMBER: 01490593 {England and Wales)
REGISTERED CHARITh NUMBEK. 510048
Report ofth? TT￿19￿$ and

Anglesty Agrl¢ullwal S￿kntyTr)
Contents ofthe Financial Statemw
torth• yèar •ndod 31 October 2025
1 to 2
8 to 15
16 tr) 17

Anglesw Agrfcults¥al SOcpty(T￿)
forth• yearwthd 31 October 2025
The twstees are dTectrys of trE for ￿￿p0￿ ofthe Companies 2UA. present their rep)rt wlh
Ihe finaNyal statements of the <tsrity for lh8 y83r ended 31 October 2025. The trustees fjave adW&J the prowsions of
Accounb"rKJ and Reporting by Chanties.. ￿emeTrt of R￿Ornmen￿ Pra(*c8 8ppltsI￿ to thar￿"¢s weparin9 their
accounts in sccordance ￿ the Financial Rep￿tir0 Standartt ar¥Y1￿ble in the UK and Reput41¢ of Irdand IFRS 1021
leffeth"Nt 1 January 20191.
OWECTIVES AND ACTMTIES
Oblectlves and alms
The obje¢A Of the is ts prtynolth of awtture in W, ￿ rts wrKipal m and public tenefft th8
running ofthe annual Angw Show.
A¢hl¢v¢rnentsand pèrfomwxe
Charitable actJvStles
The Anglesey Showwas hdd sL￿Cessfij5ty in I￿USt 2(r25 ￿ attrtsj a wide a￿ther￿e of bL31s and Visito￿ from both
8gricultur* and b*groLnd5. Thè Soo•ty conb"rnh*J its grant4kled ofthe Shwwnd
F5nancial review
Finaneial posltlon
The resultrs oflheyear8re StrKp￿ in the frA￿￿T¥j acts￿rts.
The Council has identrfied map)r riskstovhK* Ihe S• expo*1 aTrJ has estsblished systems to
mtb"g*¢ those risks.
At 31 2025 Ihtr Soo"etr<s unrestnctsj ILTh1s to £1,243.307, £950,307 of is Inves￿ in fixed
assets and £2(￿.[￿0 bwro designated fty repwr5. leawng free reserves of £93,CDJ. The TrusteeslDirectors c￿der
that reserves of* least this 8rnount are requi￿d to saf8gLwd agawist ￿nfC￿￿en arojmslarw.
STRUCTURE. GOVERNANfE AND IAANAGEMENT
Govemlng document
The Society is a company limi￿ by guar￿ arnl is gLNWT*d in accordan￿ its MemcKandum and Ar￿Je$ of
Assooation. It is marfjged ty rts Councal. the rnembers 0f￿lth ￿ deia8d try rotalion at Ihe AGM.
The So(xety'8 (knligations 8s a Charity are ov¢rs¢en ty rfs Twstees ￿0 dumg the year eTrJed 31 Oo*oter 2￿25 were as
folknws..
Mr Peter Wwlliams
MrJthn A Hughes Roberts
Mr John M Humphreys
Mr Ernyr W Hughes
Mr Huw R8dv8ts-J¢J)8s
and as a coM￿nY by its Offters dLwing Ihe y￿rents1 31 IkniEr2025 85 f￿￿￿%.
Miss C A (I4en ICunFqny S•)
Dr N G Mfilliams IDire(tsl- reswJMd 05102125
Mr G P JorEs (Director)
Mr E W Hughe5 (rh're(*￿Tr
Mr H RedversJones IDirgkn>
Ms E M Imlliams IDire(lor)
Mr J G Jones IDirW- appThrrted 0￿Y2r25
Mrs E WJones IDireth>-aFwnted 0SlQ2125
Th8 day.to.day runnirlg of the SLt*ty arn1 Ihe is wied ty its bJktime Company SecTrtarylDevelopment
Offi(tsr Can A lkn.
REFERENCE AND ADMINISTRATIVE D￿AlLs
Reglstered Company nwnber
014￿593 (England and Wdes}
gist•rgd Charlty numl
51(J)48
Page 1

Anglesry Agrfculdval SWIT￿)
for1h¥Y￿r•ThI￿d 31 Octyber Zll5
Registered office
Ty Glyn ￿1]IamS
The show9r￿n￿
Gwalchmw, A￿Se$eY
Gwn&SJ
LL65 4RW
Mr G P Jones
Mr H R Jor￿5
Ms E M Williams
Dr N G Wilbams Ireggne<l Y2r251
Mrs E W Jones lappKrfnted 5r2r251
Mr J G Jones lapp(xrrtÉ¥l 5r2r251
Mr E W Hufv 1re8i9r￿ 3111(¥25)
Trustee
Mr Peter WWllh8rr
MrJc4)n A Hugt*s ROb￿S
MrJohn M Humphreys
Mr Emyr W Hughes
Mr Huw Redvers-Jc(
Compary S￿retrry
Miss C A C>Aen
IndependentExamtner
Salisbury & Company
Irlsh &uar
upperDenbl￿ Rowj
St Asa
Denbi￿sAIre
LL17 (RN
ReF#yi of the trus
incorFmtirwJ a stratwc aFwv*l by ordèr of th8 board of trusl08s, as Ihè cL¥np8ny
#. l .w.".. ............ aThJ the t¥)artts t*haff ty..
Ms E MWlfjams-
P*Je 2

Anglesry Agriculknal 8<K*tyffl*l
Independent examinerf$ Iwityito the truslo08 of Angl8sry Agrlculturdl Soctety(Thel fthe Company?
I report to the charity trustees on my examination ofthe ￿z(￿J[rtS of trje Company fortne year eThJed 31 October 2025.
Responslbllltles and basls of report
As the charity's trustees of the Compary land rts direcknr3 forts pUr[K￿ of c(xnkWy lawl you are ￿pOn￿￿e for
the prepar8hon ofthe a¢xxJunts in aCCx)r<lan￿ wi￿rements Of￿ Companies kt 2[￿ 2(￿ kr).
Having satisfied my5eW that the aco)unts of the CwparTY are not requirwj to te audited under Part 16 of the 20CE Act
and are fcrf IndeFen￿ examinaticffi. I report in respect of my examination OfY￿ d￿rity$ axounts as carried
out Sedon 145 of the char￿e5 kt 2011 (￿e 2011 Arf>. In carryiro cxrt rny pJaminatitin I h*• IcAlch%Ed the
Direcb'ons gNen ty the Charity CoTnrni&won urKlw 145151 Ib) Of￿ 2011 P
lrt*rKlgnt•xamln•ffs
Sincè your th￿ty$ gross inccmne exce&Jed £250,(￿ your examiner mu%t be a member ol a listed boty. I can confimi
that l am qualified to undertake the examination a mpjnbfyr ot the Instibjte of Charter8J kn*Jntsnts in
Engla¢yJ and Wales, vthich is one of the listed bod￿S.
I have conyleted my examinatson. l ¢))nfirn that rKJ mattws ts)me lo my attent￿ in ojnnecbon with
examinati[￿ gNing me Ixu8e to Wwe..
a(￿Unting records %%ere not kept in res￿ ol Ihe ComFary as requir&1 3&3 ofthe 2C￿ *d,'
the accounts ¢SJ rw)t c(¥nFty with the aThnlirAJ of ￿"On 3* of the 2006 Act oth8T than any
wirement that the a￿0￿ give a and fair view V*hith is not 8 matter CO￿de￿j as part of an
indeFend8nt examination., or
thts ac￿nts have txen kwared In the methods princ4Fles of the Statemerrt of
Recornmended Prath￿ for a<l￿b"r]9 arKI rekN)rting by d￿r(b"e$ lappI￿at￿e to charitse5 preparing thwr ar£Dunts
in ac￿dar￿ wth the Financjd ReFNxtirNJ Standard aOicth in trE UK R$pub]i ot IreLand IFRS 10211.
I have no c￿￿rns and have oJme ac￿ no other mattws in (xx)nw*"on the examination to vknich attention shwld
dravm in thi% reFN)rt in order to enabk a prow UnderSta￿1￿J ol the acoxmts to be re¥hd.
IORLL
Ajed Roberts FQ4
salisL￿ry & Comparny
Ch8rteredA(mJnt8nts
Irish &uare
UpperD￿b1qh Road
St Asaph
DenbKJhshifO
LL17 ORN

Anglewrf Agricul￿[￿1 SocwtylThe)
forthe ￿rended 31 October 2025
2025
2tr24
Unr&th"(tyJ
fvnds
as restated
INCOME AND ENDOW1￿ FRIAI
Donations and legacies
13.109
18.￿1
CharftalAe actlvllles
Angw Show & Mfjnter Far
469.788
13.￿3
426.LMJ7
Other trading athibes
Investment income
Olher knLy)me
113.073
T24
113.072
22.724
1(￿.378
20.761
270
Total
574 717
EXPENDITURE ON
Raisin9 furmts
1.79J
1.7
{1.1￿)
Charitsble activities
Angtesey Show & ￿nter Far
INC(XIEIIEXPENtXTIJIE)
35,731
15.72¥
44,016
RECONCIUATION OF FLWDS
Tota funds bwht
1,207,576
198.987
1,￿,54/
TOTAL FUNDS CARRIED FORWARD
Page 4

ealance Sheet
2024
Tctsl
FIXEDASSETS
Tangl￿¢ assets
14
193.264
1.143,571
1.138.351
Stc
15
16
329)
20.483
49279
49279
Cash at
356.137
CREDtriiis
Arnourts faIn9th￿In (Th >
17
IiL45841
11tfj.5841
(36UI
NETCiNIREMfASSEf8
TOTALASSEfs LESS CLIIREKf LL4BILmES
1284.
1S3264
1.478.
1,45115S
CREDITORS
18
{41.4￿)
{41.462)
151,593)
Reslnded [￿￿ts
1243,
1.207.576
TOTAL FUNES
ended 31 Odoi*r2tr25.
The M￿￿t￿5 have rwred the ojmpary to ottan an of ts statermts thè yw ended
3nies Act 2tLE and
eparing finaroal staiements ￿ld) gNe a true ath1 fatr of the st* ol affatts ofthe th￿itable c¢mpa¥ry as
at the end of each fin*ryat year ol its suwus or ¢Jeficat f¢¥ eath finan(i* year kn ac¢udan￿ with the
2rK6 rdatirtg to thancial ¥￿erts. so faras aF¢l&*4e to tstt•i(abk oThrAny.
Ibl
<Sk..i.o.Z.Ilr)2&.-.
Ms E M Mkns. TDAtee

Anglewl Agrfcultswal SOcwty(￿)
forthe ￿rended 31 O¢lob8r 2025
2￿24
as restated
Ca8h flows from opgratlry aclfvStS8s
Cash gertera￿ from
Interest pad
FIna￿e cc6ts pad
133,372
111,4431
383
Net cash promded by OFerating
C•¥h flow¥ frnm Inv¢stlng a¢lSvlUes
Purchase of tangible fixed assets
Net cash used in investiThJ a*viti"&s
Cash flows from finarKlng acuvltles
Loan repayments in year
Net cash used in finanaTh3
Change In cash and eash equlvaieftts In
the reporting period
Cash and cashèquival•nts at the
beglnnlng of the reporting ￿rIOd
7,785
24619
Cash and eq￿Valents at th0•￿
the reportlng period
Page 6

Anglew Agrlcdturdl So¢WIThol
Noles toth? Cash Fkywstatsment
RECONCtUATION OF Ngf WCOME TO NET CASH FLOW FROM OPERATING Ac￿￿[E8
2(r24
Net Income forthe reporUn9 period las perthg statem￿ of Flnan¢lal
Aetivitios}
Adjustments tr.
prea8b.on dwrges
Interest Fad
Finance o)sts
DeCrea￿[Increas8) in stc<ks
Ilncr8as8lldecrèasé in debtors
InGreaSelld￿reasel in c¥edtOTS
30,CIJ8
44,016
27,[
11.443
1,750
(28,7
11,1001
16.895
17
ANALYSIS OF CHANGES IN NEf FUP
11111r24
Cash
At 31110r25
Cash at bank and in
Debts lalling due wthin 1 ye¥
Debts falling due after 1 y
(21.870)
147
P1,7231
6318
P*3e 7

An¥esry AgrIc4th￿l
Notes tothe Flnanclal Statements
fortheyearended 31 October 2025
ACCOUNTtNG POUCIES
Basis of preparfng the flnandal staiements
The fjnarKial statefflents of the charitable ￿rfnpary, is a public benefft entity uThler FRS 1tr1 have been
prepared in ￿r(jan￿ the Charibes SORP IFRS 102) ACXx￿nting and RèKx)rb"ng by Charrbès.. Statèmént
of Recommende(I PraL*L* 8ppIK?tle to tharities ryepwirvJ Ihoir 8¢xounts in a(Xx)r(1ar￿ with the Fin8rKial
Reporting Standard applIca￿e in the UK aThJ RepLthlic of Irdand (FRS 11r2) leffeth.ve 1 January 2019),. Finanaal
Reporting StaThJard 102 The Finar￿1 ReFtrfliro StaJThJard aw￿L4e in the UK an(J Repul￿￿ of Irdand. and tre
Companies kt 20C6. Tr finarxid statements ha￿ iwi ptepared under hiStM￿l cost Ix)nvention.
Incryne
l income is rwnused in the Statement of Financtal ACh￿•S onc*thè ¢S)anty has enlrtb*nantto thè furyjs. ti is
probat4e that Ihe incy)me wiu te wived and the amount measw¥l rdlably.
Eyndilu
Liabilities are ￿cy)gnI$ed as wicknjrè &$ s(x)n &8 there 16 a I￿ or oMstTu(*ve 01￿lgatiCn ccffimithr•J the
Charty lo th* expenrfrture, it 15 probab￿ that a transfer of benefits will be wuired n seluement and
the amount of the obligab.on (2n measured ￿lia1￿Y. Exr*nth"ttJre 15 ac£ounled foT on an xcruals basis and
has been d8s$fi*l wder h&7Jing5 that ￿gregate al O￿t related to ihe cabJory. ￿￿re costs cannot be
direcuy attn"bJted to parttujkr headTrigs thty have been alkx8t￿ to on 8 b8ws consistsnt wrth the use
of res￿￿&
Tangiblo fixod •s¥ets
Deweuation i8 pmwdeA atthefc41cthing amuat rates in ortsrto vmto off 8¥J) assèt ovèr ib esb"m8tsd useftjl lrfe.
Freehdd prowty
Solar Panels
Sh￿￿ and offi￿ Ewp*nent
Cups and Trc¥thies
2% ffl (£tst
4% cn ct*t
. 25% ¢xJ rethJrAng
1CVty on reduang bthce
st￿ks are valwl atthe ofcyjst and net realisth m*ng fr)r otsolete and slow
momng iterns.
Taxation
Fur#* accounfing
Restrid&l ￿dS can onty be used for pa￿.￿lIar wrrM)5es wthin the objects ofthe charity. Restrtctions
arise sthen Spe￿fi￿j by the donor orwhen ftjnts are Taised for parioJL7r restricted purposes.
Furtherexplanabon ofthg rkn aTrd ￿rp￿ ofth fijnd is H￿Ude*j ui lh• Nrt0S tD Ihe ffirwn(7￿ statements.
The tharitable company 0￿rateS a defin￿1 rA)ntributicn Ferrion stheme. Contn"bulions payable to the
Ch￿￿e company's pe￿ttn s(knrne are tharpj to the stateme￿ of Financial fvth"V￿eS in the period to ￿1¢h
th￿ rBlat8.
DONATIONS AND LEGACIES
2W24
re5tsted
Dcfiatto
Grants
2.275
16
Page 8

Anglw Agrkulturaj So¢kty(fhel
NATIONS AND LEGACIES- contIn￿l
Grants recei￿1. in t￿ are as
2(Q4
Food and Drink &anl
Future Prwfing Grant
OthergT
2.269
160
OTHER TRADING ACTMllES
subwpb.or
FL￿d[￿sIng Events
Hire ofsh0wg￿nd arrtj Pafilrw n Mc*L
Sotar Panel FIT
17.803
4,132
85,351
19.452
INVESTIIJENT INCIXIE
as restat&J
20,676
20.676
Interest Receiwj
INCOME FROM CkL4RITABLE ACTMnES
P4lmissi
Sponsorship
Trade E¥hilits
ants
Entry Fees
CateriNJ & Ott
Cc￿￿￿OnS
nter Show IrKcffie
Anglesey &rrtY&Wnter Fair
Anglesey Show& Wirrter Fair
Anglesey Show& Winter Fair
Anglesey Show& Wsnter Fa
Angle5ey Sh(Av& Wintar Fa
228.293
42.48Q
103.038
13.3C
21
190,285
41,021
100,187
30,453
51.7&8
44,670
19
g* Show& Wlnter F
Grnnts
. irt4u(fed in the at*M. as frAIcth3.'
Food and Dri￿[ Grant
Bdc*der B th)n
tin￿￿...

Anglèsty Agrleultural s￿Iety￿￿)
for th• yoar ended 31 October 2025
RAISING FUNDS
Othertrading athii
2LY24
Opening Sto
Closing sto
2,150
SuppKJrt
sts{
rK*e 81
T(knl$
ng* Sh)w&WtsFa
SUPPORT COSTS
Goveman
Anglesey & Wlnter F
Ef INC(XIW{ExpviiJrruRE)
Net inc£#nel(expen(knJrel is stated after th￿{cre￿ti￿).'
11L TRttsfEES REhlUNERATION AND BEF￿[r$
There were no trustees. ￿rn￿era￿ or other for th8 year erthj 31 lknber 2D25 nor for Ihe year
eThJed 31 Odober 21r24.
Tr￿￿ no trustees. &yperw p8iY for the y*r er￿d 31 Oc*oter 2025 for Ihe yew ended
31 Oclober 2024.
STAFF COSTS
a)25
2￿24
as resta
Wages and saan"¢s
Sooal security cctsts
Other pensKJn ¢)xts
71,137
57.223
The average morthty n¢Jnbef of em￿oYeeS ¢kn"ng the yearwds as fom"
2024
as restab
No eM￿0ye&% receNed emcI￿￿ents in excess Of￿,(￿1
Pag8 10
rA)ntinu&l...

Angle8¢yAgrf¢ul1￿ll s￿￿h&)
12.
COMPARATJVES FOR THE STATEME1￿ OF FINANCIAL ACTivrtES
fijnd
fvr¥Js
INCOhlE AND ENDOWMENTS FRCXI
18,￿1
Charttablo xtivitle8
Arylesey Show &thter F*
426.(K17
426.LlJ7
Otherlrading
Investsmant incom•
Otherln&)me
1¢￿.378
20,761
27
1CS,378
20,761
270
Total
EXPENDITURE ON
Raising
{1.1(X))
11.100)
Charitsble acti¥Tbes
Angtesey Stbjw & ￿n￿r F
Toial
INcOm￿{ExPENDiTUREj
Transfers belween fut)ts
50,142
676
18,126)
99 676
44,016
{49.5341
44,016
RECONCILIATION OF FUP&JS
Total fLnds ￿h1 fowar
1257,110
1CIS,437
1,362,547
TOTAL FUNDS CARRIED FORWARD
11 PRIOR YEAR ADMTMENT
The 2W24 figures have been iestated to refi&#a thfferent ¥it be￿*F￿n RestrKletl and Urweyicbj Re5erve8.
The fdlowng assets have been redassified Irom UnrestrK*&l Resor￿S lo Reststhd to r%ThpoThl
vthh re￿[pt of a histo¢ic w)rtal grant
Old Pavilk&n- Cost£225.762. 01111r24 £31,Ed)7
Eqwment. Costr362CO. 01111r24 £31,366.
£6,126)
Page11

Anglew Agrlculturnl Socknty(Trk)
for Ihe year ended 31 Octotsr 2025
TANG18LE HXED ASSETS
offi
EouF¥nert
Cups
T[a￿eS
Totsis
At 1 November 2024
ditions
1.1￿,013
301.793
1.494.004
At31 (￿ber 202S
11￿013
DEPRECIATrOM
A2 1 Novembw 2Q24
Charge for y
15.&S3
253.392
355,653
At 31 Qc*c4)or2025
NEf BOOK VAU
The Directors are ofthe Opinic￿ thatthe net tro)k valup of Lar￿ arkl Buadrgs does ￿t eX￿d its OFen market
8t the baLan￿ sh￿t date.
I& STOCKS
2￿24
as resl*d
1& DEMRS: AMouKfs FAWNG DUE WITHIN ONE YEAR
2￿24
Tr8d& debkns
Prepaymerts and a(x¥ued
41.
19,926
17.
CREDITORS: AAK)UIIrn FALUNQ DUE WITHIN ONE YEAR
2tr24
Bank kn8r￿ and overdrats {séè notè 191
21.723
8.282
15.781
21.870
5.178
VAT
Other creditor5
Empioyment Cc6ts
¥24
2.2LX)
Deferred IrK¥
Deferred IncJ)me ir￿lmIeS ￿n￿rsh(A¥202S ino)me of£2.$48 aTrJ 2026 events of£46,S)O.
Page 12
ninL￿...

Angles￿ Agriculhwal ￿lety{Tr)
lor the y￿r ended 31 Octt•ber 2025
1&
CREDITORS: AMOUNTS FALUNG OUEAFTER IIORE THAN ONE YEAR
as restated
Bank loans (see ncrte 19)
19.
An at￿ty$ts oflhe matLwty giw LW>K.
2(Y24
Amounts fallro due wilhin C￿eYe￿On i*mar*t
Bank loans
Amwnts falry ckn aThJ five
Bank loan5. 2-5 years
Tho oYeTdraftar¥J loans are 8euJred ty bJal dwge ovwthe Sc*ietys treeh￿d laThJ ar%J buhlings.
The loans are repayatle ty 2027.
20.
MOVEMENT IN FIJ4
1111r24
in fuThts
3111(y25
Unrsstridedfunds
General *Jnd
1207,576
35.731
1243.307
R8strletsd funds
Restri¢ted Fw
1￿,987
15,7231
193264
TOTAL FUNDS
Net movemènt tn fun¢ts. ind￿kd in the atrt)ve ￿ a5
OXP9nded in furKIs
unrestrict￿ funds
General fijnd
35,731
Rostrthd F￿j
13.&1)
119,0231
{5.7YJI
TOTAL FUNDS
Page 13

Angle8ey Agrfcu1￿Tr1 Soclety(Trk)
MOVEMENT IN FUPIX . Co￿lm￿d
Comparalivos formov¢mortln fvm
T￿Sfer$
1111r23
fvnds
3111LY24
Genetsl
1257.110
50,142
(99.676)
1.207.576
Restricted furKIs
RestriLaed
105.437
1&126)
93.676
198.987
TOTAL FUNDS
COrnparati￿ net moverne￿ in fiJThts. n the atrth• ar• as ft1kTh￿.
exp8Trled
in fvnds
Gewal
5T4.717
1524,575)
50,142
Restrwxed FLThI
16,126)
{6.1261
TOTAL FUNDS
A current year 12 n￿nths KThryear 12 m(¥tr6 rA￿l￿1 posrficffl 15 as fo*M"
1M1f23
in
31110r25
Unrestrletsd fvnds
Ge￿ra1
1257.110
85,873
(93.6761
1.2d3.307
Restrictsj FLvyJ
ll￿.437
111.849}
.676
193,264
TOTAL FUfrXIS
A current year 12 mcth and wiorye¥ 12 monh% ¢>)mtxwJ net in fiJ*ts, kndL•J&J In above we
as follows..
Incomfi￿ R&sIxv￿ ￿)Vern￿nt
res￿[￿ in funds
Unrestrithdfunds
General
1,197,3)5
11.111.432)
85,873
Restrietsd funds
Restricted Fu
13.SXI
(25,149)
111.8491
TOTAL FUN[
Pwje 14
Irjntinued...

A￿¢8¢Y Agr1¢￿￿ra1 Sockty(The}
Notss tothofiron&l Stateme￿. conllnugd
forthe Y￿rel￿Aed 31 October2025
21.
The Re5kncaed FLmd represents gTants ihe futhwdgvebkffj)wl ofthe Okl Pwrth.
l other furwts are unrestri￿ £2CO.(AXJ ofvknN* is lor repairslo the sh￿r0￿
Page 15

Angl•s•y Agrleuliurnl So&ty(fhel
tkntslled stat•￿01F1narnlal Actfvldes
forthe Y￿re￿Ie￿ 31 Oclober 2025
2024
INCOME AND ENDOWMENrs
Donatior
2.275
13,109
18,*1
Other tradSng actlv51leB
Subscm'ptior
Fundraisir@ Events
Hire of Sh0￿jr0￿￿ and Pafifw n
Sdar Panel FIT
17.￿3
4.132
85,351
19.452
4.89J
77,092
113.073
1Cg,378
Invesknent I￿Orn•
Rents re￿Ned
Interest Re￿Ned
20,616
20,676
22.724
20.761
Charltable aclMtle5
Admission
Sponsorsh￿)
Trade Exhibits
(>ants
Enty Fees
Catering & Other Conces
nter Show IrKtsre
1￿,285
41.(r21
1¢J),187
42.480
103.038
I3.￿)
S).453
44.610
51.738
426,(M)7
Other Income
Total incoming rosoiffe•s
574,717
EXPENDrruRE
Other trndlrwj a¢fjvil•s
Opening stcck
Closing siod(
3.2￿)
2,150
1.7￿)
11,100)
Charltablo actlvtties
Wag*s
Sorial SeC￿ty
Pensions
In5uranL
Teleph(￿e
Postag8 and 5tatir
rtssing
Sundries
Equipment Hire aThJ Setting Up
Carried foNMTd
71,137
57.223
1,477
14,
12,906
3,393
17,g26
2,565
16.704
206,679
317,396
2.224
218.164
324.844
Payè 16

Anglgw A9Aeuliurnl sockntyl￿1
forthe year*ndod 31 Octob•r2025
Charitsble actr6tle¥
Brought forward
Maintenance ar¥J Serv￿s
R05ettes, Badges and JL
Attr￿on8
Acfverbsing
Prrzes
Licws and Lewes
Sundry Expenses
Winter Show Expenditure
Subs(￿￿.0nS tr) Other Sorie
Computer Costs
Catellng
Other ProfeS￿onal Fees
F￿hlY￿ propety
Depn ofsdar pa￿S
Depn ofshow & office eqU￿￿rt
Depn ofcups & trophies
Bank loan irrterest
Bank Charges and Inte￿st
324,844
108.572
10,8B4
30,525
317,396
91,882
8,160
14.112
145
36.271
5,453
2,CQ3
9,674
33,
5.277
8,748
8.918
4,000
8,9cr2
1,4rJ
16.679
1,423
1S,877
11,443
￿￿1.626
529.726
Accountancy aThJ fees
Net Income
This wJe dces notfc*m partolthe stabjtw finarKaal statsmwts
Page 17