REGISTEREDCOMPANY NUMBEK. 06828970 IEDgl*nd and Walts)
REcisfERED CHARITY NUMBEIL. 1138132
Rtp•rt offbt Tr￿ *
Un•Mdittd W￿￿tIll forthe Period l Martk 2020 to31 M*rcl 2021
N•rtingk•m Equl
Bro(*hwsi Davic5 Limit
I l TheOffi¢¢ Village
Not￿1 RWJ
CeS*￿h1rc
LEII IQJ
lll
*A4JZJ9P5*
2311212021
COKIPANIES HOUSE
A31
#140

NottiN￿*m F4¥*l Limited
Co*tents of tht Fipatyoknl Ststrments
foTthe Period l M*tth 2020 ts 31 M*r& 2021
Report •f the TThst¢¢s
Indepthd¢ni Exawiwerfs Rryort
Ststemthbt of fIN￿rI*l Arlivil
BAlaxe Sh¢¢t
Notes to the Finaneial Stst¢nwwts
7 to 12

Nottineb•m L4mited (Rryoteytd D•rnber. iW289701
Report of the Tr¥stee5
for the Per*)d l M•rth 2020 1031 Mavfh 2021
The tr￿lIe¢S wlKb are a]50 dIYt£￿ of thc d￿rity for thc p￿￿5￿ of tlx Comp8nies Act 21M)6. Present thur feFQrt with
the financial statements of ihe tharity for the F¢TwyJ l MaT¢h 2020 ￿ 31 March 2021. The trustea hav¢ adopts4 the
provi5ion5 of Accouniing liewin8 by Charities: of R￿1)Mmended Practice applicabk to charitie5
eparing their ¥counts in ￿)rd3￿C with thc FinarKiai R¢rthling Staftdard applithk in tIK UK and Rcpublic of
Ireland IFRS 102) (effedivc l JanL*ry 2019).
oWE￿1vFs AND AcfiviTIES
Nottittgham E9￿ is an umbrella and wovi&5 8 rnjgt of serv￿ts i¥hith irKIth advrKxy on behalf of the
visible aryj rnn-Vi5ible minority dhni¢ grourfj working to widen rAni￿rA￿ bdwe¢n 8Jl miTh)rity arjd w#1
mmUniti￿ faciliiatin8othtsioTh *Mt thvelop gLK¥J reJ&ioTthip5.
FINANCIAL REVIEW
Fin*tttial positio
The charity m*k In ovtrall SW[A￿0( £&801 in the ending 31* Marth 2021.
The charity Still hH5 arumul*ive $wP]￿Or £40,595 and has ￿ iSS￿50￿cr ccThinuing a5agoing I￿ncer￿
srRiICtURL GOVERNANCE Af4D MANAGEM
Governing do¢umtni
The charity 15 controlled by its ￿V￿l￿g MemoraTrkn aTr1 Articjcs of AssLKiation 8$ arn¢r¥Jed by
SFwiai Resolution on 25 Au8lOt 2010. and a limited o)mpw. limi￿ by guaramtt. defined by the
mwdnies Aa 2￿6.
REFERENCE AND ADMINISTRATIVE DETAIIS
Regtstend Company Dumber
06828970 ffnglaThl Wales}
Regylered Charity #unbber
138132
Re2tstered oifKe
P.A.T.]LA Inc ACDA
Howitt Buildin& Lcnknn Bu%iness Cty
Boulevard
Nollinghajn
NG7 2BY
Trns¢e¢5
TBrowne
Mrs T E Edw&
Dr M H￿Sain
M Riasai
A S S3Th8h¢ra
Mrs S Sharif
ProfeTh)r C Wright
IttJqbcDdtnt Ex*mi•tr
BrockhuTSt Davie5 LimitrAI
I l The Office Villa8e
North Road
ughb)¥Dugh
L£icestttshire
LEII IQJ
Approvcd by order of tk Eoard ortn￿on 17 tkLvTrEw20218Thl si8ntdon its bchalf by..

N•ttiughAm Equal Limiled {R￿r￿ p•mbor. W*J28Th)
Report ofth¢ Trnsto#
forthe Period J March 202(1 t•3J M*rtb 2021
T Brown¢. TTUStee

Independent Examin*s Rwrt to theTr•stw•f
NottinghAffi L•mited
Ind*ptndtnt ex*mi]w'$ report to tht oIN•ttiDth*th Equal L4mited I'the CompaAy'l
I rerK)rt to chan.ty on my exwnin&ion of of Compay foT the pw*)d l March 2020 to
31 Morth 2021.
R¢spJn5ibilkns aAd Imsisof rryort
As the charity's tru5tecs of ihe Company {otKI also its dire£￿1$ for th rA￿FI)sts of wmpany lawl you arc re5px)n5iblc for
the weparntlon of tht aecounts in x£ordance with the requirtmcnts of the Co[n￿leS Att 2CN)6 20￿ Acn.
Having satisfied myself that of the coM￿Y are TWA Twuirol ￿ be wdited Lmder Part 16 of the 2(￿6 A¢t
and are eligible for indep•thni examin*iorb l in of my examination of your charity's ￿cOunts as c4rried
t wkjer Wion 145 of the Charitie5 Act 2011 Cthc 2011 Ad?. ITr carying out my uamin*W I have followrd
DiTeCtiotls givert by the C￿ty CoMmi￿10M uThler section 145(5)(b)oftk 201 I ACL
Since your charity's gTOSS irKorne uffeded £250.L¥J) your e%wJin¥ m￿1 be a memkr of h lis￿ lknly. I LX)nfi
that l am quaiifi¢d to w¥krtkn tht ex8miT4ion l am a Yt8ith me￿￿[ of ACA which is one of the liyted
LY)dies.
I h￿¢ L¥)mple*d my eXamirW￿ l ¢J)nfirnJ that Tr) mattus have Come w my in ¢om)e¢tim with th¢
examinat￿￿ gkVln8 m¢ caLtye kn tdieve:
a¢¢4)witing re￿rdS were rni kw in re5rrt£t of the COMFWV a5 TfqUiTtsJ by Sed￿n 386 ofthe 21116 A¢ or
th¢ *counts th not r￿mplY with the ￿An11[1B WIT￿4)ts of seaion 396 of the 2(K16 Aa other than any
rqUir￿￿]l ¢h* the xc(Arrf5 gi¥¢ a atyj fair view is Th)t a matu (¥)nsidered a5 Wt of an in&wdemi
txamination" or
the a¢¢ovnts have Mi l*en F*¢pral in ac4Nd￿te with the &id principle5 of the Statement of
Recornm¢n(kd Pwiit for ￿￿￿lIng arjd rrFoning by ¢haritiW (4w11(￿￿ to dwiti¢S pjyparing their
in w*datKe with the FInarK1￿ Rerx)rtinB Stsndard a￿l¢al￿¢ in the UK aTrJ Rqjublic of Ireland IFRS 102)).
I have nts have c4yrK xrDSS M (thr rn&ters in conncdion with the examination tts which attention 5h)uld
te drdwn in this Te￿$rt in orderk) e￿able 8 wth#•thngofthe aCtO￿ts
Amanda Bertley
ACA
Brockhutst Da¥i¢s Limited
I l Theoffice Village
North Road
U8hFx>ro
]xiffs¢ershir¢
LEII IQJ
17 Dccember 2021

NottlDgb•m E4￿1 Limited
Ststement ofFi•ancial A¢tiviliis
for tbe Period l M*reh 2020 th 31 Marth 2021
P¢riod
iJa
Ye* Ended
29.2.20
Totsl
fiJnd5
31J.21
Totsl
fuj
INC(XME AND ENDOWMENTS FROM
0thertr&JL￿ activities
Other irKirfn¢
241.460
241A
127,11
T•t*l
241.460
2SiA
128,941
EXPENDITURE
Raisin8
20
12.785
Charitsble xctlvlths
Community ofideniiiies
Bu5irK55 Lottery F￿dIng
Poli(zCritne & G)mmisioners
107ffj56
107h56
122,620
17.
Tot*1
242h59
135.405
INCOMEJIEXPENDITURE)
(6,464)
RECONCILIATION OF FUNDS
Toi•l fytyd$ brOll￿t ton￿￿1
31.794
38.258
TOTAL Fuf4DS CARRIED FORWARD
40595
31.794
The TKrtes [￿rn ofthe5e firtT*ial

NottiThgb•m Eq•AI LA￿1¢¢4 •umber. 06828970)
Bthnce Sherf
31 M*r¢h 2021
2(121
Tolal
ds
2020
Totsl
UNestriaol
Re5trictAI
FIXED A&srrs
Tan8ible asseLS
500
CURRENf A&8ETS
3,741
36,629
3.741.
42.737
1.860
38,313
Cw5h at bank
108
40J70
478
40.173
ATnounts failingdu¢ within orftyear
10
(5013)
(5WJ
(8.879)
NET CURRENT Asstrs
1•8
40J95
31294
T(yfAL ASSETS LESS cuRRE￿T
LIABILrrJES
A118
34M7
40J95
31.794
1•8
40595
31.794
12
UnT¢Stric*d fill￿$
Restriaed fiTh15
6.108
34487
6,108
25,686
TOTAL FUNIXS
40395
31.794
The tharitable company entitl￿ to c¥emrnM from sert￿ 477 of thE Comp8nie$ Ad 2(#J5 for the period
dul 31 March 2021.
￿eM￿rS hav¢ T¢quira th¢ olAain an a￿11 of its finJKiai 5th1cmcrf5 for ts Feri(Ml enthd
31 Marth 2021 ift %o)rdancewith St￿"0n 476 ofthc corn￿1¢5 Ad2W￿.
T7* tru￿¢¢$ thowl&l8e their rqAYGibililies
(a)
enswing ihw the tharitsble ¢onJpany key X£OUMin8 re(•rds 0)m￿Y with Scdion5 386 and 387 of the
ComF*nies Act 2¢M6 and
prewng finarKiaJ 5tatrmertts whith ￿Ve a In￿ aThl fair view of the State of affttrs of tl* ¢kntsbl¢ ¢ompny as
the end of each firorrial year ar¥J of its swplu5 or defi¢it for f￿￿￿ClaI year in accordance with the
requirements of 394 athl 395 and which othnyise comply with the Tequiren)￿Is of tk Cornpanies Act
relating to financia] swemems so fara5 8wlica)Icto tk* ¢lwi*ble o)mpny.
(b)
o)ThtinwJ...

No¢tinth#Th ￿￿11 Lirnited (Rtgwthd otsmber. 06828970
31 M*Yeh 2021
Th¢se finaJKial st&erIx￿ have been in with the WOViSiDrts arplicabie ￿ ckntsbk compani¢s
Subject to the small Lyjmpanirs rym
Th¢ financial 5tatemcnts wert akY0v￿ by the Bo4d of Tnty*es and wdm)r1￿d for i&we on 17 De¢cmEfr 2021
were sI￿¢d on its by:
T BT¢)wnc. T￿￿te

iYolliAgham Limited
for the Period l Mar¢h 20211 to31 M4r¢h 21ni
ACCOUNTING POLICIES
Blsb of PTyrittgtht ￿￿￿ti&l$t#te0bt￿ts
The fin￿￿al siatcmwts of thE chwitsbk comFW)y. whi¢h is a trtjbiic iwfii ¢otity under FRS 102, have Ee¢n
PTepar¢d in &aNdatKe with th¢ Clwitits SORP (FRS 1021 'A(w￿ling and Rerxirting by Charitl¢5'. Ststetnent
of Re£ommendcd Pr&ritt appliizble ￿ thoritie5 their ata)i]tts in aco)tdanct with ihe Financi
ReFQrtiDg Stantsd aw)11￿1¢ in the UK aThl Rwublic of Ireland (FRS 102} (effective l January 2019),.
FinarKiaJ RepJrtiDg Stsjjdard 102 1he FiDarKial Repxiing appli¢abl¢ in the UK and Republic of
convemion.
Imt•me
All ino)me 1$ r#0￿1$￿1 in th¢ of Fi￿la1 Activtues thrity has entitlement to the fund5, li
is rxobthe irKom¢ will be rtteived the m¢a5wd Tclthly.
Expenditu
Liabilits¢s are letwis￿ &8 expxlikntte as s￿1n 15 a Iwl ty o)]LStrLoi¥e obli￿10Th u)mmitting the
charity to thai exr￿￿J1[ur4 it is [￿b￿le 3 tr8n5f¢r of croNmi¢ will t¢ requird in settlemeni ¥J
the amount of the obli801ion can be rnea8ured rtliably. Expendiwre is *o)unted for on an accnjals basis and h&8
bt£n ¢1￿1r1ed undu lthjiw th& agwcgate ajl (>Jst Telwttl to the ￿tegOry. Costs wnot b¢ dIT￿lY
attributed hEadings tsy have all￿t￿ to activiries on a rxJn5isicnt with the use of
Gr￿ts offcred 5ubi¢x* to ¢￿￿1111￿ whith h&v¢ Tr)t bets m# * 4vJ d&t¢ ￿ th)trl &¥ a commitsTrTreffl
T*￿Ible flxed *5sets
t￿pr￿lation 15 provitsl gt tk bljowing *mual ralts in order kn writ¢ off exh &8set o¥t¥ its t￿lMated useful
Plant alkl machir
25￿￿￿j5[
Taxation
The th*ity is from thxon its th8rith *iviiie&
Fu￿1 #¢¢•ytt¢*g
Resrric*d fiJThJ5 only it u*d for rArtiaJl* re5trik*d within th¢ Obi￿ts of the ¢harity. RestTiCtiorbS
Furth¢rexplan8tion ofts rAryise ofeath fimd 15 iTKIth in the thc firs0￿la] Sts*men
OTHER TRADll¥G ACTIVITIES
P¢riod
lJ.20
y￿ Endtsj
29.2.20
31JJl
241A
127,(K)O
c4Jnlinued...

Nottin1h￿ Equl Limlted
Not¢5to the FiuAwri*l St•temuJts- t•oli*¥ed
for the Ptrknd l M*rth 21120 ts 31 M*reh 2021
RAISING FUNDS
lThYestme*l m*nagemnt ¢osts
JJ.2
Y¢aY Ended
29.2.20
31J21
3,239
NET INCOMEJIEXPENDITURE)
Net irK¢Mnd{CXFowthtUTe) i8 afiu ¢h¥wnW(croJitin&l..
Period
lJ.2
Year Ended
29.2.20
JiJ21
5(Ml
TRUSTELS. REMUNERATION AND BENEFITS
There were rK) trusiffs. Tt¥nw*r*iw or t•*fiLS for the 31 March 2021 nor for tl* year
erthd 29 F¢brw 2020.
Thue w¢r¢ thjstees. ex￿seS rwd for thc 31 Mwdj 2021 t¥JT for th¢ y¢8r *>)deJ
29 Fetw 2020.
STAFF COSTS
The avera8e monthly TMThbcrof ￿P10ye¢S during tk was85 follows..
Ptriod
lJ.20
Year Ended
29.2.20
31J21
Admini5trntion
Noemploytts r¢cei¥edemolwneMs in ￿CeSS or£￿.(K￿l.
ntinu&J.-

Notti•Eh•￿ Ianited
Notts to tht Fina•tial St*temellts-
for the Ptr*Jd l Matth 2020 t•31 M*rth 2021
COMPARATIVES FOR THE STATEMENT OF FINANCIALACTIVITIES
fi￿d
fimds
INCOME AND F￿DoWmE￿& FROM
h¢rtr8dingxtiViiics
Other income
127.(KK)
127.CMJ)
Totsl
128.941
12&941
EXPENDfruRE ON
Raising fijtkis
12.785
12.785
Ctharitsbk 4rfivi
Community of Ideffliiie5
122,620
121620
Tot*1
l35,405
135,405
NET INCOMFJ(EXPENDtruRE}
(6,464)
{6,464)
RECONCILIATION OF FUNDS
Totsl hnds bvoug&t forward
6,108
32.150
38,258
TOTAL WUNDS CAIUUED FORWARD
6.108
25,686
31,794
TANGIBLE FIXED
Plath aThJ
mxhinery
COST
Ai l Marth 2020 and 31 March 2021
2000
DEPRECIATJON
Ai l March 2020
(hrge for year
Ai31 Marth2021
NET BOOK VALUE
At 31 Mar¢h 2021
Al 29 2020
5Crf)
r4)ntirLLKd...

Ntyttingham F4uAI Limited
Note5 to (ke Fw*Dei*l Stst¢m¢*ts- tomli•wd
ror ikn Period l March 2020 to 31 Mar¢h 2021
DEBTORS: AMOUNfs FALLI]YC DUE WTfHIN ONE YEAR
2021
2020
OtTr%r debtors
3J99
342
399
3.741
CREDITOKS: AMoiJNfs FALUNG DUE WITHIN ONE YEAR
2021
2020
Bank loans o¥c¥draft5 (See T￿¢ I l)
Tra(k ￿dItOrS
SO¢1￿ stturity otherwes
6,108
1.329
8.879
ii.
AD •)alysi$ of thernanrity of kn is given irknw:
2020
Arnowits failin8thL¢ within oneyearon dema￿.
6.108
12. MOVEMENT IN FU14DS
Net
Ai 1.320
iThfi￿
Ai 31.3.21
Unrtstrid¢d Cunds
6.1111
6.108
R¢stri¢trd futhds
Restricted Furkts
TOTAL FUNDS
31.794
40W5
Pa8¢ 10

Nottingham ￿U%1 Limited
Notes th ih¢ Fity**ti*l Ststemt•ts- e•Mli•wd
forthe Period l M•rth 2020 to 31 M*r¢h 2Q21
MOVEMEprf IN FUNDS-t•ntinwd
Net movemert in in thEalx)ve are fol]ow5:
IrKomin8 Re￿Jr(%s
Mov•nwi
in fi￿dS
UnTwtri¢trl hnds
{IOM•)I
R¢stri¢t¢d futtds
Restriaed Fw
2418
123L6591
8001
TOTAL FUNDS
124L659)
8001
Cothparalbves form￿tAbl￿¢ ID
Net
Ai 13.19
io fuThJs
At 29.2.20
VTrrtstritttd f¥nds
GeneThi fimd
6.108
A108
litstricted f¥rMIs
li￿ded Funds
31150
(6,4641
25.686
TOTAL FUNDS
38.258
(6.464)
31,794
Compw•ive w movemem in inclLthJ in th¢ aTEas folknv*
IrKom]￿ Resourtts
Movaneni
in fLmd5
Re5tritted funds
R¢strickd F￿1*￿
128.941
(135,405)
(6.464)
T(yfAL FUM)S
128.941
{135.405)
(6.464)
Pdge li
contiNed...

Notti*iham i￿lted
Not¢s to th¢ Fith•*el*l SA*te4Ne•ts. roDlw•¢d
forthe Period l M•r¢h 2020 to 31 M•rth 2021
13.
RELATED PARTY DISCLOSURES
There were ￿ r¢1th￿ rArty tran￿*)[￿￿ fwthc ethl 31 Marth 2021.
14.
LtABILrrY OF MEMBERS
Th¢ liability of the memlxrn is luniLQJ.
Every memF*r of the pwmis¢& if the tharity is dissolved while he or she or it is a memF*r or within 12
month% after she of he or li te￿5 to a memFKr. b) O￿tribUte suth exceeding £10) a5 rnay
demanded of him ￿ hff or il towards th¢ FxymeTht of the deFts aTrJ liabilitie5 of tk tharity in¢4]rr&l befott ht or
Shr or ji ¢ca5rf to k a member. and of thc costs dwgc5 amd CXF¢nse5 of wirnling up. atld the adju5Thents of t
8htsof the C4￿triE￿)neS awK)nÈ themselves.
Page12