REGISTERED COMPANY INu￿1￿ER. 01799310 (Englaiiil Miiil Ivales)
REGISI'ERED CHARITY NUNCBER: 515024
RECLIVED
13 MAY IU?G
p,Y: _.
REPORT OF THE TRUSTEES AND
UNAUDITED FJN'ANCIAL STATEMENTS FOR THE YEAR EIN'DED 30 SEPTEMBER 2025
FOR
TANAT CAIN CYFYNGEDIG
D.R.E. & Co. Limited
Cljartered Accoiiiilaiits
7 Lower BIDok Slreet
051YCs1ry
Shropsliire
SYII 2HG

ANTUR TANAT
AIN cYf4VNGEDIG
CONTE
TS OF THE FINANCIAL sTAI.E￿IENTs
R THE YEAR ENDED 30 SEPTEI¥IBER 202S
Page
Report of tlie Trvstees
Indepeiident Examliiei's Repoyt
Stalement ol Finllnclal ACtI￿tieS
Balwnce Slieel
Notes to the FiiiAncl#l Stateimeiits
7 to 10
DetAlled Stafeiiieiit of Flnancfal Aetlvlrfes

ANTUR TANAT CAIN CYFYNCEDIG
REPORT OF T
FO
.STE
DED
EPTEMHFR 2025
Tlie trustees wlio are also dir¢¢tors of t7￿ cliarity for tlie purpose5 of Ilie Conipaiiies Aet 2006, PF£sent ¢lieir repoit wttli
tlie findiicial staienjenls of the cliarily foT ihe year elided 30 8cp(cinber 2025. Tlie IrJsiees lithiie adopled tlie provisions
of Accounting aiid Rei)niliiig Iiy Cljariiics.. Statcjncjit of Iltconiinended Pnciice applicable to ehafilie5 preparii)g their
accoiinls in £ltetsrdancc ivith the Finaiicial ReportinB Siartdard applicable iii the UK Rnd Republic of Ireland {FRS 102)
(etTectiv¢ l Jaiiuary 2019).
OBJEcfTVES AND ACTIVITIES
OblectlYe5 And alM15
Anttir Tallal Caill Cyfyiigedig was fonned to strengtheji ilie lifc of Ihc Tanat and Caiii Valleys through promolijig the
Coniniiinity's industry, potential and Skills.
Tlie Cliarily ainis to Provide eduralion and op]xTrrtunities lo all iiienibeTS of tlie comniunities ¢specially the elderly aiid
di8advaiitaged.
All Imejnbers of the conunuiiity ar¢ abl¢ to partake iii Ilie aciivilies.
Tlie nianageiMent coiiiikniliec eonfirni t]iey ljave had regard lo Ihe CliarilyCoii)iiiissioii's guidance on public benefjt.
ACHIEVEhlBNTS AND PERFORN,IANCE
Ch#i.Itablc actii,Stie8
The t)iaiiagenient coinniitlce consider thai tlie perforiiiaiice of the compatty's year uiidtr i'eview has been salisfaclory.
Incoiiie ftoii) all sources for the year ainourbied to £31,475. Expeijdilure aiiiountcd ￿ £27,345, givhng rtge to a surpliis of
£4,130.
We liave & conijnittee which illeets every montb lo review the busiiie5s. We iiow have 2 trustees and 3 Con￿}1t1ee
members.
7lie chaTity 15 comiiiiikni to heli)ing tlie locHI cominuniry yoiing aikd old. Wc liold niontlily luttcheoi) Cliibs Jubilec Club
di￿ ive iiow hav¢ a cafe offeiing lunLhes Artd wami syace.
We are lJelpiJig local conununiiies iillprove iheir play areas ￿ld outdoor 5pacE5 for Childwi wid fajnilies 10 enjoy. We
liave betn fundrdisiiig for pennies for pl8ygrouiid5.
We have I￿]d open day5 aiid ar¢ plann2Jig to liold fiirt]iBr open days aiid craft events.
FINANCIAL REVIEIV
Reserves pollc.y
The L'esetves are eurrerttly slanditig at a salisfaclory level. It is ilie aiiii of ttie Inanic geiiierst co1￿1￿iltec to i))aiiJ(ain
restrves at a irasonable Icvel to eiisure tlie long t¢rni finaiicial seciiTity of tlic orgaiJi8alion.
FufuRE PLANS
Plaiis for tlie future are to coiitinue to iiivesl in tlie buildings aiid grout￿9 to keep Llatigedwyn Mill a usrable seryEce for
local neil. biisinesses.
We are planning to open trdining uiiit for liire. This ivould be a Self contaiiied unit for crnflejs oi. cojiiniuiiities lo vse
for ivorksljops t￿1￿})]1g.
Page

R TANAT CAIN CYFYNGEDIG
REPORT OF THE TRUSTEES
R THF.Y
AR ENDED 30 SEP
STRUCTURE, GOVERNANCE ￿.[ANAGEME￿r
Coyeynlng docuiMeii¢
The ¢liLgrity is goveined by its memorandum a]id articles of asso¢iatiOll iEJCOiPOTatcd 12 M8r¢h 1984. It consiitutes a
limited compajiy. il is liJ)iited by guarantee, as d¢fiii¢d by tbe Companie5 Act 2006.
The coJi)pai)y is maDaged by tlie following OfficeiE'.
Cliaimian
Secretary
Tr¢¢isurerlvi¢e cliair
TJtJat Cain CyfyJ?gedig holds an geijcral inceliiig.
Recrultnieiit and appolntnient of new ti'ustees
The gov¢niing body of thc ¢omiJany is Ihc Coiiticil of Mei))bei%, wliich include the dii'e¢ior and trustee. AppuTiiltnent
alld removal of dircclors is govemed by tlie Arlicles of ASs￿l￿tIon aiid the Companies Act 2006. Retrnitmenl of
nienibers takes plac£ across tlie Charity's aiea of tlie Tail&¢ and Cain Vulleys. tD¢al orgattisalions and Conimwuty
Coyncils are asked io pur fonvard Mernbe￿ wlien there ar¢ vacaiicies.
RlslL niaiiAEenieiit
The Jnanagenietit Comi￿l￿ee have Conside￿ the iijajor risks io Mihich the charity is exposed, have reviewed them at¥d
t￿191de1. IIMI suitable 5yslen1s are iji place lo rnitigale those risks.
RF.FF.RENCE AND ADMINISTRATIVE DETAILS
Rcg15tered Coinpaii), nuniber
01799310 (Englaiid and Wales)
Reglsteyed Cliai'ity )huiiibeY
515(124
Registered office
Site Officc, Llangedwyn Craft Ivork Shops
Llangedw Mill
Llangedwyn
Osivestry
Slitopliir¢
SYIO 9LD
Ti'uslc¢s
J F Nlaceall Pub landlord
N Poivell Retired (resigiied 24.11.25J
JP Parkinson Retired Headii)aster
Coinpany Secretxry
Mrs E Illillianis
Tiidepeiident Exaiiiliier
Martyn Keiil F.C.A. C.T.A
D.R.E. & Co. Liiniled
Cliaiteied Aecounlanls
7 Lower Brook Street
Oswe8try
Sliri)psliire
SYII 2HG
Page 2

ANTUR TANAT CAIN cYfYNGEDI
REPORT OP THE TRUSTEES
R THE I'CI AR ENDED
EPTEMIIER 202
r+'lanageiiient Comnilttee
Cllr A Davies
Cllr G Broadbelll
Cl]r Adrian Philllips
Approved byorder oftlie b¢Mrd of tn]slees oti 29 ApTiI 2026 und $iglled on its belialf by..
Mrs E Williains- Se¢relary
Phge 3

INDEPENDENT EXAMINER'S REPORT
AN'I'UR'fANAT C.AIVI eYfYNC.F.DI
Indep¢ihdeiit exaMIDei"s vepoyt to Ihe tru$tee$ of Aiitur Tgiiat Caln Cyfyngtdig ('tlie Compaihy'l
report lo the charily tn]slees oil Lny exaiMii)atioii of ihe 8¢couiils of the Coi)]pany for thc year elided
30 September 2025.
RespoMsibllltie5 and ba515 of report
As the rl)Lirity'% lrn%iccs of tlic Conipatiy (and also its directots for the p¥rposes of coinpany law) yoii are trespoiisible for
th¢ prcparatioll of the &ctouiiis iii a¢col￿anCe wÉili the rcquirdnents of the CoiMpa13ies Act 2006 rilie 2006 A¢l'l.
Having satisfied E]iyself thai ilie accoun15 of tl)e Conipaiiy are Jiol required lo bc audited undeT Part 16 of Iljc 2006 Act
aiid are eligible for independent exaniinalion. I report in respect of Iny exainijialioii of your cliarity's accounts as Carried
oiit wider Seclioji 145 of th¢ Cliayilies Act ?01 I ('t7￿ 2011 Acl'l. 111 canying out Iny ex4niiiiatioii I have followed the
Di￿ctionS given by Iht Charity Cotjiniission iindei. Section 145(5) Ibl tsf the 2011 Act.
Independent exaillincY'$ stateiiient
I have conii)leied iny exaiiiiiiation. I confimi tliat na 2natlcrs hdve ¢oJKe to iny &lt¢iilioii in ¢onne¢lioJi witli the
examltiation giving ime cal￿G lo bclicve..
a¢couiJtii)g records were not kepl iii iesprct of the Compaiiy as required by Seciioii 386 of the 2006 Ael,. or
tkne &ccouiils dD JIDt actord wit]1 ihost records,. oi.
tlie accouiits do nol coinply Miitli the accoui)tiiig requirei))eiJts of Scctioll 396 of ilie 2006 Act otlier than any
requiremeiil tIMt ilie Accounts L>jipe a trne atid fair vieiv which is not a Tliatter ¢onsid¢red as part of an iiidepeiident
eXa1￿Inatio1h,. or
tlie acC￿l￿ts havc Iiot beep prepared in Kcordance wilh the meihods and priiiciples of the Statcmeiit of
Recoii)meiided Practice for accoui)liiJg and reporting by charilies (applicable to clwities preparing their 2¢cout]ts
ill accordaiice wilh the Ft#antial Reportiiig Siaiidard &i)plicable tlie UK ajid Republic of h'elaiid {FRS 102)).
liave no concettkg aiid have ¢onie a¢ro8s no otlicr iTrJatters iii connecliol) ivitll tlie ¢xaii)ination to wliiclj atteiiiion should
b¢ drawii in Iliis report in order lo enable a properundct5thndiiig of Ilie ac¢ounls lo bc reached.
£ tol
Moityn Kent F.C.A, C.T.A
D.R.E. &p Co. Litnilcd
Clhariered ACCO￿5}Iants
7 Lower Brook Street
Osivestiy
Slirop5hi
SYII 2HG
29 April 2026
Page 4

ANTUR TANAT CAIN CYFYNGEDIG
STATEME4 NT OF Flh'ANCIAL ACTIVITIES
R TRE I'EAR E
DED
EPTENqBER 20
30.9.25
UnrestrTCted
fund
30.9.24
Total
funds
Notes
INCOh.IE AN'D ENDOIVTrIENTS f4ROII.I
DoNations a￿d legacies
102
400
Olliei ttadiiig aciiirlties
IniTesliiienl income
31,075
298
28,802
349
Total
31,47S
29,551
EXPENDITURE ON
Cliarltablc aetlvltlcs
Charitable
27345
28.035
NET INCOME
4,130
1,516
RF.CONC.II.TATION OF FuN￿s
Total thiids brouglil fonvard
21,751
20.235
TOTAL FUNDS CARRIED FORIVARD
2&881
21,751
Th¢ Jiot¢s fonn part of these fjiiancial sthl¢JvJJts
Page 5

ANTUR TANAT CAtN CYFYNGEDIC
BALANCE SHEET
TE
BER 2025
30.9.25
Unresti'leled
30.9.24
Total
fvtxds
N￿e$
CUIIRENT ASSETS
Debto
Casli at bank
600
26,943
737
22,549
27,543
23.286
CREDITORS
Atnouiils falliiig due ivfttliiij oiie year
(1,6621
(1,535)
NET CURREP4T ASSETS
21881
21,751
TOTAL ASSETS LESS CURRENT
LIABILITIES
25,881
21,751
NET ASSETS
2S,881
21,751
FUNDS
Uiiresiri¢ted funds
25.881
21,751
TOTAL FUNDS
25,881
21,751
Tlie clIar￿table cotjipany is eiilitled io exemption frotji aiidit uiider Se¢tiOTI 477 of tlic Comparkies Act 2(K>6 fo¥ the year
¢nded 30 S¢pt¢inbvi" 2025.
The memlKrs have not required the Company to obtain an audst of its fJii&iJcial stat￿11￿1￿ for the year ended
30 Septeniber 2025 in accordance will) Section 476 of tlie Conipanies Act 2006.
The Inis(ee5 ￿knOW}edge theii. respon9ibililies for
(a)
eiisiirit)g tliAt tlie charitablc company keeps a¢¢ounting Jycords that coniply with Sections 386 and 387 of thc
Coinpaiiies Act 2006 ai
prepaiing financial stateiiients wliich give a true ￿ld fAir view of Ilie stale of affairs ofihe cliariiable coinp3ny as
at rli¢ end of each finaiicial year aiid of ils sutplus or dcficil foi cach financial year iii accordaiice Ivith ilie
requireiiien15 of Sectioiis 394 aiid 39S &iid which ollienvise conii)ly willi tlie requireiiients of tlie Coi))panies Aci
2006 relatiE)g lo finaiicial stal￿11¢￿￿, 50 far applicable to tlie cliorilable conipany.
{b)
These finaii¢ial siateinenls have ￿t￿ prepared ui accordRILCC Iiryih tlic prOV￿S1O17$ applicabl¢ to ¢harilable ¢oinpaaii¢s
subject to the sn?all coi))paJiies rcgiiiie.
Tlie financial stateinents iir¢re approved by the Board of Trn$l¢es and aullM)ri5ed for issue on 29 Apiil 2026 and ivere
sigii£d ils belialf by..
J F Maccall- TnLs*e
iiot¢s forni part of these fiiwn¢ial Stste1￿ClIts
Pagc 6

ANTUR TANAT CAIN cyfYNGEDIG
NOTE8 T() THE FtNANC'IAT..
R THE YEAR ENDED
TATF.hlF,h"rs
ACCOUNTING POLICIES
Bas15 of pieparliig Ilie fl11oiaelal 5tatenieiits
Ilie finaiieial slatejnents of the charitable compajiy. which is a public benefit eiitity under fR8 102, have bceji
prepared in actoidaiice willi Ilie Cliarities SORP (I-.RS 102) 'Accouniing aiid Repoiiing by CliaritÈes: Statcjiiejit
of Rccojnnicndcd Practicc applicable to cliarities piepai'ing their aceowils iii accordaiice willi the Trinancial
R¢poiting Staridard applicable iij th¢ UK aiid Repuhlic of Irclaiid (FRS 1021 {e*Tective l January 2019),,
Fiiianci21 Reporling sL2ndal￿ 102 'Tlie Finalicial Rcportijig Stai￿ard applicabl¢ in Ilie UK and RcptsbliG of
Irclaiid, and tlie Coinpanies Act 2006. The fiiJan¢ial s¢atemei)ts have been ptepAYed under the historical cost
¢onvenlion.
InconiÉ
Incon)ing resourccs Jnainly conipiisc tiiigtelltincous sale5 and seivices arid renls T￿ci1'ed froiii craft centre and
Ivorkshops. excliiding valLte added t&x. Thcy arc includcd Ihc 8ta(cmcnl of FiiiancFal activitEe5 wheii Ili¢
cliarity is legally ejiliiled lo the income and tlie 2mouiit etsn be qua]itified wilh rcasonablc accuracy
No anwuiiis air included ii'itl)iii tlie accouilts fot sewice5 doiiated by volullteers..
Expeiidlture
Liabilities are rccogjjiscd as expenditure a5 sooll as diere i5 a legal or constructive oblisati¢)n ¢omi))itting th¢
cliarAry 10 that expellditure, it is pi'obable thAt a Iraiisfcr of cc()iioiiiic benefits Kvill bc tequii¢d in settleinent and
tlie anioujil of tlie obligation can be t)ieasured iEliably. Expciiditure is accountcd for on an accruals basis and lias
be¢Ji classificd under lieadiiigs tlial aggreK8le all cosl relaied to Ilie category. Wiere Costs caiiiioi bB directly
attributcd ￿ paittciilar lieadiiigs they have been allocated to act￿vItieS oil a basis consistent willi tlie iise of
r¢soitire5.
Tayation
Tlie chariiy is exenipt froin corporation tsx on charitable aciivilits.
Fuiid #etoiinting
The ¢liariry lias one fund, iiiliicli is uiirestrictcd. It is available for use at Ilie discretion of Ihe ttllSt￿ in
furtheTance olihe gciicr&l objectives of die ¢h8rity aiid ivhich Iiave Iiot been desigYial¢d foi othet PUFpose5.
OTIIER TRADING AcfIviTIES
30.9.25
30.9.24
Ck)ft ceiilre & wotksliop
Setvices & car boor sales
24.423
6,6S2
21,632
7,170
31,075
28,802
INVESTD¥lENT INCOME
30.9.25
30.9.24
Dep051t gctollnl interest
298
349
Page 7
continued...

ANTUR TANAT CAIN CYFYNGEDIG
NOTES TO THE FIINANCIAL STATEhlENTS- coiitliiued
FOR THEYEAR ENDED
EPTEhIH￿,R 2
NET INCOMEI(EVENDITURE)
Nel iiicoinel{expetxlitur¢) is slated afteT cl)aigingJ(crediling).'
30.9.25
30.9.24
Auditors, Temun£￿tiOn for non audit work
1,597
1,429
TRUSTEFS, REMUNERATJON AND IIF.NF.FITS
There no ttuslees, remun¢tRtioll or other beneflts for the yeaT ended 30 Sepla))ber 2025 nor for tlie year
ended 30 Seplen)ber 2024.
Trustees, typensts
There were iio tmstees, expeitses paid for the yepj ended 30 Sepleniber 2025 nor for the year et￿ed
30 Seplember2024.
COhlPARATtVES FOR THE STATEMENF OF FINAh'CIAL ACTIVITIES
UnTestri¢ied
futid
INCOME AND BN'DOIIIMEwfs FROM
Doiialions and leg1£ ¢ies
400
Oihei trading activitie5
Iiive%ti?ient ijicome
28,802
349
Total
29,551
EXPENDITURE Oh,
Chai'ltxble aCtI￿tIeS
Cli&iil)bl¢
28.035
NET INCOME
1,516
RECONCILIATION OF FUNDS
Tolal fiiJid5 broiighi fonvaTd
20,235
TOTAL FUNDS CARRIED FORIVAR
21.751
Page 8
Coniinued..,

ANTUR TANAT CAIN CI'FYNGKDI
NOTES TO THE FItNANCJAL STATE4 NIENTS- toMtlnue(I
11 THF. YF.AR E
DED
EPTEMBER 2
25
DEBTORS: ATrIOUNTS FALLING DUE IVITHIN ONE YEAR
30.9.25
30.9.24
Trade de￿orS
600
737
CREDITORS: AMOUNTS FALLING DUE IV1TH￿ ONE YEAR
30.9.25
30.9.24
Trade CT¢diloTS
,662
1,535
MOVEMENT IN FUNDS
Net
i))ovem¢iil
in fiinds
Al
1.10.24
30.9.25
Unrestrlcted fynds
General filnd
21.751
4,130
25,881
TOTAL FUND.$
21,751
4,130
2S881
Net moveftieiit in fitLid5, iiicluded in die above are as folloivs..
Incon)iiig
rcsources
Rcsources
expended
Movcilleiii
in fiinds
Uni-estrictcd funds
Geiieral fiind
31,475
(27,345)
4,130
TOTAL Fu￿￿s
31,475
(27J45)
4,130
Coiaip#v2tlves foi. Imoveiiient In fund5
Net
movenient
it) fiinds
At
1.10.23
Al
30.9.24
Uiii'estylcted fuiid5
Gencial tht
20.235
1,516
21,751
TI)TAL FUN'DS
20,235
1,516
21,751
Page 9
coiiiiiiued..

ANTUR TANAT CAIN cYfYNGEDIG
NOTES TO THE FINANCIAL STATE￿IENTs-
R THE I'EAR E
DEI D 30 sf4 PTE￿IllER 2025
oH￿￿U
OVEMENT IN FUNDS- coihtinued
Conipanlivc iiel m<)v¢t)Knt in fviids, iticliided in tlie above are as follows..
ResouFCCS
expellded
Moveniet)t
ill fvllds
regourees
Uiii'eslrleted fund5
Gen¢ral fujid
29,55
{28,035J
TOTAL FUl￿￿s
29,551
(28,035)
1.516
A c￿￿ent year 12 months and prior year 12 li￿nIhS combiiied posilioJ] is as follows..
Net
tnr)vetJient
in fiinds
Ai
1.10.23
Al
30.9.25
Uiiresti'iettd fund$
Geiieral fviid
20.235
5,646
25,881
TOTAL FUNDS
20.235
5,646
25,881
A year 12 nioiiilis aTLd piior year 12 nioiiilis coinbined Jie¢ inov¢nient itj ￿nds, inclilded in the above aTE
as folloivs..
lJeoi)iing
resources
Resources
expended
Movemenl
in fut)ds
Uiii'esli'lcted fuiids
Gcnetal fund
61,026
(55,380)
5,646
TOTAL FUNDS
61.026
(55,3801
io.
RELATED PARTY DISCLOSURES
Tliere ￿'Cre iio telalcd Piiriy traiisaclioiis for il* year ended 30 Scptcnibcr 2025.
Page 10

TUR TANAT CAIN CYFYNGEDIG
DETAILED STATENIENT OF FINANCIAL ACT
R THE YEAR Eh'DF.D 30 SF.PTf4JilqllF.R 2025
30.9.25
30.9.24
INCOblE A￿'D ENDOIIThIENTS
Doiiatlons aiid legaeles
Del￿tiOnS
102
400
Otliei. ti-ading activTrtie$
Craft ceritre & ivorksliop
SeNices & carboot ￿leS
24,423
6,652
21,632
7,170
31,075
28,802
Investnient inconie
Deposit accouijt iiileiESt
298
349
TotaT Iii¢oiJilng iysouyces
31,475
29,551
EXPENDITURE
Cliarltable Actlyltles
2,482
635
1,005
6,2S3
252
74
1,150
2,624
1,825
(1,4951
5,646
5,469
252
Rates and ivater
lll5Ufdnce
Liglit and lieat
Tclq)liDno
Postage aiid stationery
Sundries
Doll&liotts
261
15,475
11,958
Support cpsts
hIaiia¥eMen(
Wages
Buildiiig inateri315 & sitc cost
6,910
3JOS
6,818
7,771
10,215
14,589
Fln8nc¢
Bank charge5
58
59
Goveriiaii¢e Costs
Audiloyd lEn)￿neratIo]I for non audit work
1597
1.429
Tolal iesources expendcd
27,345
28,035
Net Incoiiic
4,130
1,516
Tliis page does iiot part of the slattlltsry fiiiaiicial siateiiiethis
Page 11