’ ’ TRUSTEES (DIRECTORS ) ANNUAL REPORT – YEAR ENDING 31.3.2025
In accordance with the requirements of the Charity Commission we are providing details that extend the information available from the annual accounts prepared to the statutory requirements of Companies House. The governing document for the Company is the Memorandum and Articles of Association. The Charity’s main function is to operate a commercial road transport museum. The premises that were moved into in late 2012 continue to see significant work done by a very willing band of volunteers, but that has to be tempered by the continuing lack of a long-term lease which restricts security of tenure. There has been a period of uncertainty over the last 12 months with some funding bid success with both Arts Council England and National Lottery Heritage Fund, both of which providing funding to take on a paid consultant / contractor. Appointments were due to be made shortly after this reporting period and were initially for a 12 month period with funding covering a two year period. Against that, the hoped for funding to start the process of acquiring the property was unsuccessful, unfortunately not helped by a crucial decision delayed through the General Election and a subsequent change of policy by the new Government. The museum’s present landlord held discussions with one of the museum members with a view to him acquiring the building and then sub-letting on a longer term lease with a peppercorn rent. That itself is subject to this person being able to generate sufficient finance to go ahead with the purchase and this is an ongoing situation not likely to be resolved until towards the end of 2025. In the meantime a slightly increased rent is continuing to be paid but with the backdrop that income still does not cover this from normal trading.
The museum continues to open to the public 3 days per week throughout the year but this year has seen a reduction in visitor numbers, areas that should be addressed by the anticipated appointees. The downside of the building remains that access for double-deck buses is restricted and also for longer single-deckers as there are height restrictions and also the building is split into 3 sections. This has meant further vehicles are having to be stored at other premises at additional rental costs, but some smaller commercial vehicles and similar have been loaned to us, with the owners paying an appropriate rental charge. However, this is the only building presently available to the museum if it is to continue to function as it has over more than 30 years – hence the ongoing efforts to find the means to acquire / remain in it.
The Museum’s policy is to exhibit commercial road transport vehicles constructed in part, or in whole, or else spending the bulk of their working lives in the West Midlands, together with commercial and passenger road transport related artefacts. Workshop facilities are relatively limited but some vehicle projects continue to move on with the assistance from a number of volunteers that have come from the local area. The policy continues to be to restore these to the most appropriate condition of their time in service, e.g. some buses can be restored to original condition and appearance, but others will be kept in as withdrawn condition. This applies to the commercial vehicles in the collection as well.
Where major items, such as a new vehicle exhibit, are to be considered, then this will take place at the regular board (committee) meetings, held, normally, on a monthly basis. Items that are of a greater urgency either dealt with by the Directors’ present on site on working days, or else by telephoning or emailing around to obtain a consensus. Most meetings have been able to return to in person following the pandemic restrictions, the use of Zoom for meetings has significantly reduced this year. The policy stated in the paragraph above has been constant for many years.
During the review year the Museum was open on a regular basis, with an extra day during some school holidays. This resulted in overall visitor numbers exceeding 4500. In general though, the trend has seen lower visitor numbers following the move from Birmingham; we continue to look for additional ideas to bring the museum to a wider audience, something, again, that the proposed funding bids should assist with. Pressure on funds continues as outlined above. Dialogue continues with the local authority, Walsall MBC, though this has been overtaken by support from the Combined Authority. With a paucity of attractions within the Borough, and HLF acknowledgement of overall under-funding in our area, together with Arts Council England, there is clearly a desire to try to retain our museum but it is unlikely that direct funding will be available to cover the ongoing short-fall. While day to day costs have tended to stabilise, recent inflationary trends continue to place further pressure on finances. We continue to use ongoing cashflow projections which are compared to actual costs to try to ensure that the museum is run as efficiently as it can be, financially.
The trustee situation has been stable, with no changes. However, we continue to acknowledge the need to strengthen the Board in certain areas, though the issue of finding the right candidates remains.
The assets of the Company, apart from cash and stock for the in-house Museum shop, are mainly made up of vehicles, many of which were donated. All Museum owned vehicles available for the free services provided on event days are maintained to Class V MOT standard, where required by law. We do not hold an operator’s licence, although we review this from time to time, so have continued our policy of operating Museum vehicles
on a free to board basis. The valuation of all Museum owned vehicles is reviewed annually by the Directors’ who place a consensus valuation on each vehicle, this being at our accountant’s recommendation.
The continuing financial uncertainty has meant that we continue to not have a specific Charity reserve, although there are available funds in the vehicle restoration fund that could be used to move museum assets to more suitable premises, should that need arise. We do not receive any Local Authority funding but we continue to receive significant moral support that will be utilised in funding bids to other organisations if at all practical.
Additional monies continue to be used towards vehicle renovation, some of which are long-term, and some of these projects are being supported from members / friends. This funding, though, has seen a steady decline in recent years and is an area we need to improve
Membership of the Museum is solely of the Company and membership total is now below 100, this continuing to decline year on year and, to an extent, reflects the age-profile – this is another area for serious review. The Museum also has a support base for vehicle owners’ where additional accommodation is available and these owners are also members of the Museum Company. This will ensure that a potential source of new trustees/directors is always available to us, though subject to the comments above. The trustees continue to review this to ensure continuity in the future.
29th May 2025
R.H. Gray Financial Director
Aston Manor Road Transport Museum Limited
Charity No. 519216
Company No. 02114878
Trustees' Report and Unaudited Accounts
31 March 2025
Aston Manor Road Transport Museum Limited Contents
| Pages | |
|---|---|
| Trustees' Annual Report | 2 to 5 |
| Independent Examiner's Report | 6 |
| Statement of Financial Activities | 7 |
| Summary Income and Expenditure Account | 8 |
| Balance Sheet | 9 to 10 |
| Statement of Cash flows | 11 |
| Notes to the Accounts | 12 to 20 |
| Detailed Statement of Financial Activities | 21 to 24 |
Page 1
Aston Manor Road Transport Museum Limited Trustees Annual Report
The trustees, who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the unaudited financial statements of the charity for the year ended 31 March 2025.
REFERENCE AND ADMINISTRATIVE DETAILS
Company No. 02114878
Charity No. 519216
Registered Office
4 Baxter Court 96 School Road Moseley Birmingham West Midlands B13 9TP
Directors and Trustees
The Directors of the charitable company are its Trustees for the purposes of charity law. The following Directors and Trustees served during the year:
G. Adkins A. Beattie J. Beech A.L. Bishop M.J. Fisher D. Goodwin R.H. Gray
==> picture [298 x 118] intentionally omitted <==
Company Secretary
A.L. Bishop
Accountants
Ian Richmond Limited Church Cottage Church Road Tettenhall West Midlands WV6 9AJ
OBJECTIVES AND ACTIVITIES
Page 2
Aston Manor Road Transport Museum Limited Trustees Annual Report
The Charity’s main function is to operate a commercial road transport museum. The premises that were moved into in late 2012 continue to see significant work done by a very willing band of volunteers, but that has to be tempered by the continuing lack of a long-term lease which restricts security of tenure. There has been a period of uncertainty over the last 12 months with some funding bid success with both Arts Council England and National Lottery Heritage Fund, both of which providing funding to take on a paid consultant / contractor. Appointments were due to be made shortly after this reporting period and were initially for a 12 month period with funding covering a two year period. Against that, the hoped for funding to start the process of acquiring the property was unsuccessful, unfortunately not helped by a crucial decision delayed through the General Election and a subsequent change of policy by the new Government. The museum’s present landlord held discussions with one of the museum members with a view to him acquiring the building and then sub-letting on a longer term lease with a peppercorn rent. That itself is subject to this person being able to generate sufficient finance to go ahead with the purchase and this is an ongoing situation not likely to be resolved until towards the end of 2025. In the meantime a slightly increased rent is continuing to be paid but with the backdrop that income still does not cover this from normal trading.
The museum continues to open to the public 3 days per week throughout the year but this year has seen a reduction in visitor numbers, areas that should be addressed by the anticipated appointees. The downside of the building remains that access for double-deck buses is restricted and also for longer single-deckers as there are height restrictions and also the building is split into 3 sections. This has meant further vehicles are having to be stored at other premises at additional rental costs, but some smaller commercial vehicles and similar have been loaned to us, with the owners paying an appropriate rental charge. However, this is the only building presently available to the museum if it is to continue to function as it has over more than 30 years – hence the ongoing efforts to find the means to acquire / remain in it.
The Museum’s policy is to exhibit commercial road transport vehicles constructed in part, or in whole, or else spending the bulk of their working lives in the West Midlands, together with commercial and passenger road transport related artefacts. Workshop facilities are relatively limited but some vehicle projects continue to move on with the assistance from a number of volunteers that have come from the local area. The policy continues to be to restore these to the most appropriate condition of their time in service, e.g. some buses can be restored to original condition and appearance, but others will be kept in as withdrawn condition. This applies to the commercial vehicles in the collection as well.
Where major items, such as a new vehicle exhibit, are to be considered, then this will take place at the regular board (committee) meetings, held, normally, on a monthly basis. Items that are of a greater urgency either dealt with by the Directors’ present on site on working days, or else by telephoning or emailing around to obtain a consensus. Most meetings have been able to return to in person following the pandemic restrictions, the use of Zoom for meetings has significantly reduced this year. The policy stated in the paragraph above has been constant for many years.
ACHIEVEMENTS AND PERFORMANCE
Page 3
Aston Manor Road Transport Museum Limited
Trustees Annual Report
During the review year the Museum was open on a regular basis, with an extra day during some school holidays. This resulted in overall visitor numbers exceeding 4500. In general though, the trend has seen lower visitor numbers following the move from Birmingham; we continue to look for additional ideas to bring the museum to a wider audience, something, again, that the proposed funding bids may assist with. Pressure on funds continues as outlined above. Dialogue continues with the local authority, Walsall MBC, though this has been overtaken by support from the Combined Authority. With a paucity of attractions within the Borough, and HLF acknowledgement of overall under-funding in our area, together with Arts Council England, there is clearly a desire to try to retain our museum but it is unlikely that direct funding will be available to cover the ongoing short-fall. While day to day costs have tended to stabilise, recent inflationary trends continue to place further pressure on finances. We continue to use ongoing cashflow projections which are compared to actual costs to try to ensure that the museum is run as efficiently as it can be, financially.
The trustee situation has been stable, with no changes. However, we continue to acknowledge the need to strengthen the Board in certain areas, though the issue of finding the right candidates remains.
FINANCIAL REVIEW
The assets of the Company, apart from cash and stock for the in-house Museum shop, are mainly made up of vehicles, many of which were donated. All Museum owned vehicles available for the free services provided on event days are maintained to Class V MOT standard, where required by law. We do not hold an operator’s licence, although we review this from time to time, so have continued our policy of operating Museum vehicles on a free to board basis. The valuation of all Museum owned vehicles is reviewed annually by the Directors’ who place a consensus valuation on each vehicle, this being at our accountant’s recommendation.
The continuing financial uncertainty has meant that we continue to not have a specific Charity reserve, although there are available funds in the vehicle restoration fund that could be used to move museum assets to more suitable premises, should that need arise. We do not receive any Local Authority funding but we continue to receive significant moral support that will be utilised in funding bids to other organisations if at all practical.
PLANS FOR FUTURE PERIODS
Additional monies continue to be used towards vehicle renovation, some of which are long-term, and some of these projects are being supported from members / friends. This funding, though, has seen a steady decline in recent years and is an area we would like to improve
STRUCTURE, GOVERNANCE AND MANAGEMENT
In accordance with the requirements of the Charity Commission we are providing details that extend the information available from the annual accounts prepared to the statutory requirements of Companies House.
The governing document for the Company is the Memorandum and Articles of Association.
Membership of the Museum is solely of the Company and membership total is now below 100, this continuing to decline year on year and, to an extent, reflects the age-profile – this is another area for serious review. The Museum also has a support base for vehicle owners’ where additional accommodation is available and these owners are also members of the Museum Company. This will ensure that a potential source of new trustees/directors is always available to us, though subject to the comments above. The trustees continue to review this to ensure continuity in the future.
Page 4
Aston Manor Road Transport Museum Limited Trustees Annual Report
The Trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Companies Act 2006. The Trustees are also responsible for safeguarding the assets of the charity and hence taking reasonable steps for the prevention and detection of fraud and other irregularities.
The above report has been prepared in accordance with the provisions applicable to companies subject to the small companies regime as set out in Part 15 of the Companies Act 2006 and in accordance with the Charities SORP (FRS 102).
Signed on behalf of the board
A.L. Bishop Company Secretary 14 October 2025
Page 5
Aston Manor Road Transport Museum Limited Independent Examiners Report
Independent Examiner's Report to the trustees of Aston Manor Road Transport Museum Limited
I report to the charity trustees on my examination of the financial statements of Aston Manor Road Transport Museum Limited for the year ended 31 March 2025.
Responsibilities and basis of report
As the charity's trustees of the company (and also its directors for the purposes of company law) you are responsible for the preparation of the financial statements in accordance with the requirements of the Companies Act 2006 ('the 2006 Act.
Having satisfied myself that the financial statements of the Charity are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity's financial statements as carried out under section 145 of the Charities Act 2011 ('the 2011 Act'). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.
Independent examiner's statement
I have completed my examination. I can confirm that no material matters have come to my attention in connection with the examination giving me cause to believe:
-
accounting records were not kept in accordance with section 386 of the 2006 Act ; or
-
the financial statements do not accord with those records; or
-
the financial statements do not comply with the accounting requirements under section 396 of the 2006 Act other than any requirement that the financial statements give a 'true and fair' view which is not a matter considered as part of an independent examination; or
-
the financial statements have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the financial statements to be reached.
Ian Richmond ICAEW Ian Richmond Limited Church Cottage Church Road Tettenhall West Midlands WV6 9AJ 14 October 2025
Page 6
Aston Manor Road Transport Museum Limited Statement of Financial Activities
for the year ended 31 March 2025
| Notes Income and endowments from: Donations and legacies 4 Charitable activities 5 Other trading activities 6 Investments 7 Total Expenditure on: Raising funds 8 Charitable activities 9 Other 10 Total Net gains on investments Net income/(expenditure) 11 Transfers between funds Net income/(expenditure) before other gains/(losses) Other gains and losses Gains on revaluation of fixed assets Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted funds 2025 £ 19,898 24,215 14,583 984 |
Restricted funds 2025 £ 83,650 - - - |
Total funds 2025 £ 103,548 24,215 14,583 984 |
Total funds 2024 £ 10,820 25,126 15,383 484 |
|---|---|---|---|---|
| 59,680 - 17,348 51,516 |
83,650 - - - |
143,330 - 17,348 51,516 |
51,813 1,757 13,071 53,860 |
|
| 68,864 - |
- - |
68,864 - |
68,688 - |
|
| (9,184) - |
83,650 - |
74,466 - |
(16,875) - |
|
| (9,184) - |
83,650 - |
74,466 - |
(16,875) 8,399 |
|
| (9,184) 187,931 |
83,650 871 |
74,466 188,802 |
(8,476) 197,278 |
|
| 178,747 | 84,521 | 263,268 | 188,802 |
Page 7
Aston Manor Road Transport Museum Limited Summary Income and Expenditure Account
for the year ended 31 March 2025
| Income Interest and investment income Gross income for the year Expenditure Depreciation and charges for impairment of fixed assets Total expenditure for the year Net income/(expenditure) before tax for the year Tax payable Net income /(expenditure )for the year |
2025 £ 142,346 984 143,330 68,707 - 68,707 74,623 (157) 74,466 |
2024 £ 51,329 484 |
|---|---|---|
| 51,813 | ||
| 68,439 249 |
||
| 68,688 | ||
| (16,875) - |
||
| (16,875) |
Page 8
Aston Manor Road Transport Museum Limited Balance Sheet
at 31 March 2025
| Company No. 02114878 Notes 2025 £ Fixed assets Tangible assets 14 157,705 157,705 Current assets Stocks 15 100 Debtors 16 6,962 Cash at bank and in hand 108,286 115,348 Creditors:Amount falling due within one year 17 (9,785) Net current assets 105,563 Total assets less current liabilities 263,268 Net assets excluding pension asset or liability 263,268 Total net assets 263,268 The funds of the charity Restricted funds 18 Restricted income funds 84,521 84,521 Unrestricted funds 18 General funds 58,278 58,278 Reserves 18 Revaluation reserve 120,469 120,469 Total funds 263,268 |
2024 £ 157,706 |
|---|---|
| 157,706 100 4,481 38,029 |
|
| 42,610 (11,514) |
|
| 31,096 188,802 |
|
| 188,802 | |
| 188,802 | |
| 871 | |
| 871 67,462 |
|
| 67,462 120,469 |
|
| 120,469 | |
| 188,802 |
These accounts have been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small companies.
For the year ended 31 March 2025 the company was entitled to exemption under section 477 of the Companies Act 2006 relating to small companies.
The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of accounts.
Approved by the board on 14 October 2025
And signed on its behalf by:
R.H. Gray
Page 9
Aston Manor Road Transport Museum Limited Balance Sheet
Trustee 14 October 2025
Page 10
Aston Manor Road Transport Museum Limited Statement of Cash flows for the year ended 31 March 2025
| Cash flows from operating activities Net income/(expenditure) per Statement of Financial Activities Adjustments for: Dividends, interest and rents from investments Increase in trade and other receivables Decrease in trade and other payables Net cash provided by/(used in) operating activities Cash flows from investing activities Dividends, interest and rents from investments Net cash from investing activities Net cash from financing activities Net increase/(decrease) in cash and cash equivalents Cash and cash equivalents at the beginning of the year Cash and cash equivalents at the end of the year Components of cash and cash equivalents Cash and bank balances |
2025 £ 74,466 (984) (2,481) (1,729) 69,272 984 984 - 70,256 38,029 108,285 108,286 108,286 |
2024 £ (8,476) (484) (290) - |
|---|---|---|
| (9,001) 484 |
||
| 484 | ||
| - | ||
| (8,517) | ||
| 53,538 | ||
| 45,021 | ||
| 38,029 | ||
| 38,029 |
Page 11
Aston Manor Road Transport Museum Limited Notes to the Accounts
for the year ended 31 March 2025
- 1 Accounting policies
Basis of preparation
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2015) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Companies Act 2006.
Fund accounting
-
Unrestricted funds These are available for use at the discretion of the trustees in furtherance of the general objects of the charity.
-
Designated funds These are unrestricted funds earmarked by the trustees for particular purposes. Revaluation funds These are unrestricted funds which include a revaluation reserve representing the restatement of investment assets at their market values.
-
Restricted funds These are available for use subject to restrictions imposed by the donor or through terms of an appeal.
-
Income
| Income | |
|---|---|
| Recognition of | Income is included in the Statement of Financial Activities (SoFA) when the charity |
| income | becomes entitled to, and virtually certain to receive, the income and the amount of |
| the income can be measured with sufficient reliability. | |
| Income with related | Where income has related expenditure the income and related expenditure is |
| expenditure | reported gross in the SoFA. |
| Donations and | Voluntary income received by way of grants, donations and gifts is included in the |
| legacies | the SoFA when receivable and only when the Charity has unconditional |
| entitlement to the income. | |
| Tax reclaims on | Income from tax reclaims is included in the SoFA at the same time as the |
| donations and gifts | gift/donation to which it relates. |
| Donated services | These are only included in income (with an equivalent amount in expenditure) |
| and facilities | where the benefit to the Charity is reasonably quantifiable, measurable and |
| material. | |
| Volunteer help | The value of any volunteer help received is not included in the accounts. |
| Investment income | This is included in the accounts when receivable. |
| Gains/(losses) on | This includes any gain or loss resulting from revaluing investments to market value |
| revaluation of fixed | at the end of the year. |
| assets | |
| Gains/(losses) on | This includes any gain or loss on the sale of investments. |
| investment assets |
Page 12
Aston Manor Road Transport Museum Limited Notes to the Accounts
Expenditure
-
Recognition of Expenditure is recognised on an accruals basis. Expenditure includes any VAT which expenditure cannot be fully recovered, and is reported as part of the expenditure to which it relates.
-
Expenditure on These comprise the costs associated with attracting voluntary income, fundraising raising funds trading costs and investment management costs. Expenditure on These comprise the costs incurred by the Charity in the delivery of its activities and charitable activities services in the furtherance of its objects, including the making of grants and governance costs.
-
Grants payable All grant expenditure is accounted for on an actual paid basis plus an accrual for grants that have been approved by the trustees at the end of the year but not yet paid.
-
Governance costs These include those costs associated with meeting the constitutional and statutory requirements of the Charity, including any audit/independent examination fees, costs linked to the strategic management of the Charity, together with a share of other administration costs.
-
Other expenditure These are support costs not allocated to a particular activity.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Tangible fixed assets and depreciation
Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life:
Plant and machinery 10% straight line Fixtures, fittings & 20-33% straight line equipment
==> picture [205 x 48] intentionally omitted <==
The directors have revalued the museum exhibits on an adjusted market valuation having taken into account that as a charity it can only dispose of these assets for scrap or to another like-minded charitable body. The valuation takes into account the stage of restoration the assets are currently at. In the past external costs of restoration have been charged to profit.
Stocks
Stock is included at the lower of cost or net realisable value. Donated items of stock are recognised at fair value which is the amount the charity would have been willing to pay for the items on the open market.
Trade and other debtors
Trade and other debtors are recognised at the settlement amount due after any trade discount offered. Prepayments are valued at the amount prepaid net of any trade discounts due.
Cash and cash equivalents
Cash and cash equivalents comprise cash at bank and on hand, demand deposits with banks and other short-term highly liquid investments with original maturities of three months or less and bank overdrafts. In the statement of financial position, bank overdrafts are shown within borrowings or current liabilities. In the Statement of Cash Flows, cash and cash equivalents are shown net of bank overdrafts that are repayable on demand and form an integral part of the company's cash management.
Page 13
Aston Manor Road Transport Museum Limited Notes to the Accounts
Trade and other creditors
Short term creditors are measured at the transaction price. Other creditors and provisions are recognised where the charity has a present obligation resulting from a past event that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors and provisions are normally recognised at their settlement amount after allowing for any trade discounts due.
Receipt of donated goods, facilities and services
All donated goods, facilities and services received are recognised within incoming resources and expenditure at an estimate of the value to the charity.
2 Company status
The company is a private company limited by guarantee and consequently does not have share capital.
3 Statement of Financial Activities - prior year
| 3 Statement of Financial Activities - prior year |
|||
|---|---|---|---|
| Income and endowments from: Donations and legacies Charitable activities Other trading activities Investments Total Expenditure on: Raising funds Charitable activities Other Total Net income Net income before other gains/(losses) Other gains and losses: Gains on revaluation of fixed assets Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted funds 2024 £ 10,820 25,126 15,383 484 51,813 1,757 13,071 53,860 68,688 (16,875) (16,875) 8,399 (8,476) 196,407 187,931 |
Restricted funds 2024 £ - - - - - - - - - - - - - 871 871 |
Total funds 2024 £ 10,820 25,126 15,383 484 |
| 51,813 1,757 13,071 53,860 |
|||
| 68,688 | |||
| (16,875) | |||
| (16,875) 8,399 |
|||
| (8,476) 197,278 |
|||
| 188,802 |
Page 14
Aston Manor Road Transport Museum Limited
Notes to the Accounts
4 Income from donations and legacies
| Donations 5 Income from charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising 6 Income from other trading activities Shop Cafeteria 7 Income from investments Bank interest 8 Expenditure on raising funds Fundraising trading costs Shop Cafeteria |
Unrestricted £ 19,898 19,898 |
Restricted £ 83,650 83,650 Unrestricted £ 10,738 10,922 1,687 868 24,215 Unrestricted £ 13,252 1,331 14,583 Unrestricted £ 955 29 984 |
Total 2025 £ 103,548 103,548 Total 2025 £ 10,738 10,922 1,687 868 24,215 Total 2025 £ 13,252 1,331 14,583 Total 2025 £ 955 29 984 Total 2025 £ - - - |
Total 2024 £ 10,820 |
|---|---|---|---|---|
| 10,820 | ||||
| Total 2024 £ 13,847 8,418 1,961 900 |
||||
| 25,126 | ||||
| Total 2024 £ 13,922 1,461 |
||||
| 15,383 | ||||
| Total 2024 £ 458 26 |
||||
| 484 | ||||
| Total 2024 £ 1,065 692 |
||||
| 1,757 |
Page 15
Aston Manor Road Transport Museum Limited Notes to the Accounts
9 Expenditure on charitable activities
| Unrestricted Total 2025 £ £ Expenditure on charitable activities Vehicle rental 662 662 Museum entry 14,973 14,973 Membership subscriptions 187 187 Fundraising 1,526 1,526 Governance costs 17,348 17,348 10 Other expenditure Unrestricted Total 2025 £ £ Corporation tax charge/(credit) 157 157 Motor and travel costs (1,464) (1,464) Premises costs 44,298 44,298 Amortisation, depreciation, impairment, profit/loss on disposal of fixed assets - - General administrative costs 7,805 7,805 Legal and professional costs 720 720 51,516 51,516 11 Net income/(expenditure) before transfers 2025 This is stated after charging: £ Depreciation of owned fixed assets - 12 Trustee remuneration and expenses 2025 Number Number of trustees paid expenses - The nature of the reimbursed expenses Reimbursement of charity expenses. |
Total 2024 £ - 11,516 187 1,368 |
|---|---|
| 13,071 | |
| Total 2024 £ - - 39,942 249 6,739 6,930 |
|
| 53,860 | |
| 2024 £ 249 2024 Number 6 |
13 Staff costs
No employee received emoluments in excess of £60,000.
Page 16
Aston Manor Road Transport Museum Limited Notes to the Accounts
14 Tangible fixed assets
| Cost or revaluation At 1 April 2024 At 31 March 2025 Depreciation and impairment At 1 April 2024 At 31 March 2025 Net book values At 31 March 2025 At 31 March 2024 15 Stocks Finished goods 16 Debtors Trade debtors Other debtors Prepayments and accrued income 17 Creditors: amounts falling due within one year Accruals |
Plant and machinery £ 2,023 2,023 889 889 1,134 1,134 |
Fixtures, fittings & equipment £ 156,484 156,484 - - 156,484 156,484 2025 £ 100 100 2025 £ 433 2,893 3,636 6,962 2025 £ 9,785 9,785 |
TFA 4 £ 3,112 3,112 3,025 3,025 87 87 |
Total £ 161,619 |
|---|---|---|---|---|
| 161,619 | ||||
| 3,914 | ||||
| 3,914 | ||||
| 157,705 | ||||
| 157,705 | ||||
| 2024 £ 100 |
||||
| 100 | ||||
| 2024 £ 80 (836) 5,237 |
||||
| 4,481 | ||||
| 2024 £ 11,514 |
||||
| 11,514 |
Page 17
Aston Manor Road Transport Museum Limited Notes to the Accounts
18 Movement in funds
| Restricted funds: Restricted income funds: Bus restoration general Total Unrestricted funds: General funds Revaluation Reserves: Revaluation fund Total revaluation reserves Total funds |
At 1 April 2024 871 - 871 67,462 120,469 120,469 188,802 |
Incoming resources (including other gains/losses ) £ - 83,650 83,650 59,680 - - 143,330 |
Resources expended £ - - - (68,864) (68,864) |
At 31 March 2025 £ 871 83,650 |
|---|---|---|---|---|
| 84,521 | ||||
| 58,278 120,469 |
||||
| 120,469 | ||||
| 263,268 |
Purposes and restrictions in relation to the funds: Revaluation reserves Represent the amount by which investments exceed their historical cost. Restricted funds: Bus restoration general Donations received for the general restoration of buses
19 Analysis of net assets between funds
| Fixed assets Net current assets 20 Reconciliation of net debt Cash and cash equivalents Net debt |
Unrestricted funds £ 151,521 100,158 251,679 At 1 April 2024 £ |
Restricted funds £ 6,184 5,405 11,589 Cash flows £ |
Total £ 157,705 105,563 |
|---|---|---|---|
| 263,268 | |||
| At 31 March 2025 £ |
|||
| 38,029 | 70,257 | 108,286 | |
| 38,029 38,029 |
70,257 70,257 |
108,286 | |
| 108,286 |
Page 18
Aston Manor Road Transport Museum Limited Notes to the Accounts
- 21 Related party disclosures
Controlling party
There is no controlling party
Page 19
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
for the year ended 31 March 2025
| Income and endowments from: Donations and legacies Donations Charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising Other trading activities Shop Cafeteria Investments Bank interest Total income and endowments Expenditure on: Costs of other trading activities Shop Cafeteria Total of expenditure on raising funds Charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising Total of expenditure on charitable activities Other expenditure Corporation tax charge/(credit) Motor and travel costs Vehicles - Insurance and licences |
Unrestricte d funds 2025 £ 19,898 19,898 10,738 10,922 1,687 868 24,215 13,252 1,331 14,583 955 29 984 59,680 - - - - 662 14,973 187 1,526 17,348 17,348 157 157 (1,464) |
Restricted funds 2025 £ 83,650 83,650 - - - - - - - - - - - 83,650 - - - - - - - - - - - - - |
Total funds 2025 £ 103,548 103,548 10,738 10,922 1,687 868 24,215 13,252 1,331 14,583 955 29 984 143,330 - - - - 662 14,973 187 1,526 17,348 17,348 157 157 (1,464) |
Total funds 2024 £ 10,820 |
|---|---|---|---|---|
| 10,820 | ||||
| 13,847 8,418 1,961 900 |
||||
| 25,126 | ||||
| 13,922 1,461 |
||||
| 15,383 | ||||
| 458 26 |
||||
| 484 | ||||
| 51,813 1,065 692 |
||||
| 1,757 | ||||
| 1,757 - 11,516 187 1,368 |
||||
| 13,071 | ||||
| 13,071 - |
||||
| - | ||||
| - |
Page 20
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
| Premises costs Rent Rates Light, heat and power Premises insurances Premises repairs and maintenance General administrative costs, including depreciation and amortisation Depreciation of Plant and machinery Depreciation of Fixtures, fittings & equipment Bank charges General insurances Software, IT support and related costs Stationery and printing Sundry expenses Telephone, fax and broadband Legal and professional costs Accountancy and bookkeeping Other legal and professional costs Total of expenditure of other costs Total expenditure Net gains on investments Net income/(expenditure) Net income/(expenditure) before other gains/(losses) Other recognised gains and losses Gains on revaluation of fixed assets Other Gains Net movement in funds Reconciliation of funds: |
(1,464) 35,000 3,228 3,345 2,383 342 44,298 - - - 505 4,008 39 - 2,330 923 7,805 720 - 720 51,516 68,864 - (9,184) (9,184) - - (9,184) |
- - - - - - - - - - - - - - - - - - - - - - - 83,650 83,650 - - 83,650 |
(1,464) 35,000 3,228 3,345 2,383 342 44,298 - - - 505 4,008 39 - 2,330 923 7,805 720 - 720 51,516 68,864 - 74,466 74,466 - - 74,466 |
- |
|---|---|---|---|---|
| 32,000 2,915 2,103 2,176 748 |
||||
| 39,942 | ||||
| 162 - 87 538 3,845 70 696 935 655 |
||||
| 6,988 | ||||
| 720 6,210 |
||||
| 6,930 | ||||
| 53,860 | ||||
| 68,688 - |
||||
| (16,875) | ||||
| (16,875) 8,399 - |
||||
| (8,476) | ||||
Page 21
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
| Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities |
||||
|---|---|---|---|---|
| Total funds brought forward Total funds carried forward |
187,931 178,747 |
871 84,521 |
188,802 263,268 |
197,278 |
| 188,802 |
Page 22
Aston Manor Road Transport Museum Limited
Charity No. 519216
Company No. 02114878
Trustees' Report and Unaudited Accounts
31 March 2025
Aston Manor Road Transport Museum Limited Contents
| Pages | |
|---|---|
| Trustees' Annual Report | 2 to 5 |
| Independent Examiner's Report | 6 |
| Statement of Financial Activities | 7 |
| Summary Income and Expenditure Account | 8 |
| Balance Sheet | 9 to 10 |
| Statement of Cash flows | 11 |
| Notes to the Accounts | 12 to 20 |
| Detailed Statement of Financial Activities | 21 to 24 |
Page 1
Aston Manor Road Transport Museum Limited Trustees Annual Report
The trustees, who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the unaudited financial statements of the charity for the year ended 31 March 2025.
REFERENCE AND ADMINISTRATIVE DETAILS
Company No. 02114878
Charity No. 519216
Registered Office
4 Baxter Court 96 School Road Moseley Birmingham West Midlands B13 9TP
Directors and Trustees
The Directors of the charitable company are its Trustees for the purposes of charity law. The following Directors and Trustees served during the year:
G. Adkins A. Beattie J. Beech A.L. Bishop M.J. Fisher D. Goodwin R.H. Gray
==> picture [298 x 118] intentionally omitted <==
Company Secretary
A.L. Bishop
Accountants
Ian Richmond Limited Church Cottage Church Road Tettenhall West Midlands WV6 9AJ
OBJECTIVES AND ACTIVITIES
Page 2
Aston Manor Road Transport Museum Limited Trustees Annual Report
The Charity’s main function is to operate a commercial road transport museum. The premises that were moved into in late 2012 continue to see significant work done by a very willing band of volunteers, but that has to be tempered by the continuing lack of a long-term lease which restricts security of tenure. There has been a period of uncertainty over the last 12 months with some funding bid success with both Arts Council England and National Lottery Heritage Fund, both of which providing funding to take on a paid consultant / contractor. Appointments were due to be made shortly after this reporting period and were initially for a 12 month period with funding covering a two year period. Against that, the hoped for funding to start the process of acquiring the property was unsuccessful, unfortunately not helped by a crucial decision delayed through the General Election and a subsequent change of policy by the new Government. The museum’s present landlord held discussions with one of the museum members with a view to him acquiring the building and then sub-letting on a longer term lease with a peppercorn rent. That itself is subject to this person being able to generate sufficient finance to go ahead with the purchase and this is an ongoing situation not likely to be resolved until towards the end of 2025. In the meantime a slightly increased rent is continuing to be paid but with the backdrop that income still does not cover this from normal trading.
The museum continues to open to the public 3 days per week throughout the year but this year has seen a reduction in visitor numbers, areas that should be addressed by the anticipated appointees. The downside of the building remains that access for double-deck buses is restricted and also for longer single-deckers as there are height restrictions and also the building is split into 3 sections. This has meant further vehicles are having to be stored at other premises at additional rental costs, but some smaller commercial vehicles and similar have been loaned to us, with the owners paying an appropriate rental charge. However, this is the only building presently available to the museum if it is to continue to function as it has over more than 30 years – hence the ongoing efforts to find the means to acquire / remain in it.
The Museum’s policy is to exhibit commercial road transport vehicles constructed in part, or in whole, or else spending the bulk of their working lives in the West Midlands, together with commercial and passenger road transport related artefacts. Workshop facilities are relatively limited but some vehicle projects continue to move on with the assistance from a number of volunteers that have come from the local area. The policy continues to be to restore these to the most appropriate condition of their time in service, e.g. some buses can be restored to original condition and appearance, but others will be kept in as withdrawn condition. This applies to the commercial vehicles in the collection as well.
Where major items, such as a new vehicle exhibit, are to be considered, then this will take place at the regular board (committee) meetings, held, normally, on a monthly basis. Items that are of a greater urgency either dealt with by the Directors’ present on site on working days, or else by telephoning or emailing around to obtain a consensus. Most meetings have been able to return to in person following the pandemic restrictions, the use of Zoom for meetings has significantly reduced this year. The policy stated in the paragraph above has been constant for many years.
ACHIEVEMENTS AND PERFORMANCE
Page 3
Aston Manor Road Transport Museum Limited
Trustees Annual Report
During the review year the Museum was open on a regular basis, with an extra day during some school holidays. This resulted in overall visitor numbers exceeding 4500. In general though, the trend has seen lower visitor numbers following the move from Birmingham; we continue to look for additional ideas to bring the museum to a wider audience, something, again, that the proposed funding bids may assist with. Pressure on funds continues as outlined above. Dialogue continues with the local authority, Walsall MBC, though this has been overtaken by support from the Combined Authority. With a paucity of attractions within the Borough, and HLF acknowledgement of overall under-funding in our area, together with Arts Council England, there is clearly a desire to try to retain our museum but it is unlikely that direct funding will be available to cover the ongoing short-fall. While day to day costs have tended to stabilise, recent inflationary trends continue to place further pressure on finances. We continue to use ongoing cashflow projections which are compared to actual costs to try to ensure that the museum is run as efficiently as it can be, financially.
The trustee situation has been stable, with no changes. However, we continue to acknowledge the need to strengthen the Board in certain areas, though the issue of finding the right candidates remains.
FINANCIAL REVIEW
The assets of the Company, apart from cash and stock for the in-house Museum shop, are mainly made up of vehicles, many of which were donated. All Museum owned vehicles available for the free services provided on event days are maintained to Class V MOT standard, where required by law. We do not hold an operator’s licence, although we review this from time to time, so have continued our policy of operating Museum vehicles on a free to board basis. The valuation of all Museum owned vehicles is reviewed annually by the Directors’ who place a consensus valuation on each vehicle, this being at our accountant’s recommendation.
The continuing financial uncertainty has meant that we continue to not have a specific Charity reserve, although there are available funds in the vehicle restoration fund that could be used to move museum assets to more suitable premises, should that need arise. We do not receive any Local Authority funding but we continue to receive significant moral support that will be utilised in funding bids to other organisations if at all practical.
PLANS FOR FUTURE PERIODS
Additional monies continue to be used towards vehicle renovation, some of which are long-term, and some of these projects are being supported from members / friends. This funding, though, has seen a steady decline in recent years and is an area we would like to improve
STRUCTURE, GOVERNANCE AND MANAGEMENT
In accordance with the requirements of the Charity Commission we are providing details that extend the information available from the annual accounts prepared to the statutory requirements of Companies House.
The governing document for the Company is the Memorandum and Articles of Association.
Membership of the Museum is solely of the Company and membership total is now below 100, this continuing to decline year on year and, to an extent, reflects the age-profile – this is another area for serious review. The Museum also has a support base for vehicle owners’ where additional accommodation is available and these owners are also members of the Museum Company. This will ensure that a potential source of new trustees/directors is always available to us, though subject to the comments above. The trustees continue to review this to ensure continuity in the future.
Page 4
Aston Manor Road Transport Museum Limited Trustees Annual Report
The Trustees are responsible for keeping proper accounting records that disclose with reasonable accuracy at any time the financial position of the charity and to enable them to ensure that the financial statements comply with the Companies Act 2006. The Trustees are also responsible for safeguarding the assets of the charity and hence taking reasonable steps for the prevention and detection of fraud and other irregularities.
The above report has been prepared in accordance with the provisions applicable to companies subject to the small companies regime as set out in Part 15 of the Companies Act 2006 and in accordance with the Charities SORP (FRS 102).
Signed on behalf of the board
A.L. Bishop Company Secretary 14 October 2025
Page 5
Aston Manor Road Transport Museum Limited Independent Examiners Report
Independent Examiner's Report to the trustees of Aston Manor Road Transport Museum Limited
I report to the charity trustees on my examination of the financial statements of Aston Manor Road Transport Museum Limited for the year ended 31 March 2025.
Responsibilities and basis of report
As the charity's trustees of the company (and also its directors for the purposes of company law) you are responsible for the preparation of the financial statements in accordance with the requirements of the Companies Act 2006 ('the 2006 Act.
Having satisfied myself that the financial statements of the Charity are not required to be audited under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity's financial statements as carried out under section 145 of the Charities Act 2011 ('the 2011 Act'). In carrying out my examination I have followed the Directions given by the Charity Commission under section 145(5) (b) of the 2011 Act.
Independent examiner's statement
I have completed my examination. I can confirm that no material matters have come to my attention in connection with the examination giving me cause to believe:
-
accounting records were not kept in accordance with section 386 of the 2006 Act ; or
-
the financial statements do not accord with those records; or
-
the financial statements do not comply with the accounting requirements under section 396 of the 2006 Act other than any requirement that the financial statements give a 'true and fair' view which is not a matter considered as part of an independent examination; or
-
the financial statements have not been prepared in accordance with the methods and principles of the Statement of Recommended Practice for accounting and reporting by charities applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102).
I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the financial statements to be reached.
Ian Richmond ICAEW Ian Richmond Limited Church Cottage Church Road Tettenhall West Midlands WV6 9AJ 14 October 2025
Page 6
Aston Manor Road Transport Museum Limited Statement of Financial Activities
for the year ended 31 March 2025
| Notes Income and endowments from: Donations and legacies 4 Charitable activities 5 Other trading activities 6 Investments 7 Total Expenditure on: Raising funds 8 Charitable activities 9 Other 10 Total Net gains on investments Net income/(expenditure) 11 Transfers between funds Net income/(expenditure) before other gains/(losses) Other gains and losses Gains on revaluation of fixed assets Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted funds 2025 £ 19,898 24,215 14,583 984 |
Restricted funds 2025 £ 83,650 - - - |
Total funds 2025 £ 103,548 24,215 14,583 984 |
Total funds 2024 £ 10,820 25,126 15,383 484 |
|---|---|---|---|---|
| 59,680 - 17,348 51,516 |
83,650 - - - |
143,330 - 17,348 51,516 |
51,813 1,757 13,071 53,860 |
|
| 68,864 - |
- - |
68,864 - |
68,688 - |
|
| (9,184) - |
83,650 - |
74,466 - |
(16,875) - |
|
| (9,184) - |
83,650 - |
74,466 - |
(16,875) 8,399 |
|
| (9,184) 187,931 |
83,650 871 |
74,466 188,802 |
(8,476) 197,278 |
|
| 178,747 | 84,521 | 263,268 | 188,802 |
Page 7
Aston Manor Road Transport Museum Limited Summary Income and Expenditure Account
for the year ended 31 March 2025
| Income Interest and investment income Gross income for the year Expenditure Depreciation and charges for impairment of fixed assets Total expenditure for the year Net income/(expenditure) before tax for the year Tax payable Net income /(expenditure )for the year |
2025 £ 142,346 984 143,330 68,707 - 68,707 74,623 (157) 74,466 |
2024 £ 51,329 484 |
|---|---|---|
| 51,813 | ||
| 68,439 249 |
||
| 68,688 | ||
| (16,875) - |
||
| (16,875) |
Page 8
Aston Manor Road Transport Museum Limited Balance Sheet
at 31 March 2025
| Company No. 02114878 Notes 2025 £ Fixed assets Tangible assets 14 157,705 157,705 Current assets Stocks 15 100 Debtors 16 6,962 Cash at bank and in hand 108,286 115,348 Creditors:Amount falling due within one year 17 (9,785) Net current assets 105,563 Total assets less current liabilities 263,268 Net assets excluding pension asset or liability 263,268 Total net assets 263,268 The funds of the charity Restricted funds 18 Restricted income funds 84,521 84,521 Unrestricted funds 18 General funds 58,278 58,278 Reserves 18 Revaluation reserve 120,469 120,469 Total funds 263,268 |
2024 £ 157,706 |
|---|---|
| 157,706 100 4,481 38,029 |
|
| 42,610 (11,514) |
|
| 31,096 188,802 |
|
| 188,802 | |
| 188,802 | |
| 871 | |
| 871 67,462 |
|
| 67,462 120,469 |
|
| 120,469 | |
| 188,802 |
These accounts have been prepared in accordance with the special provisions of Part 15 of the Companies Act 2006 relating to small companies.
For the year ended 31 March 2025 the company was entitled to exemption under section 477 of the Companies Act 2006 relating to small companies.
The members have not required the company to obtain an audit in accordance with section 476 of the Companies Act 2006.
The directors acknowledge their responsibilities for complying with the requirements of the Companies Act 2006 with respect to accounting records and the preparation of accounts.
Approved by the board on 14 October 2025
And signed on its behalf by:
R.H. Gray
Page 9
Aston Manor Road Transport Museum Limited Balance Sheet
Trustee 14 October 2025
Page 10
Aston Manor Road Transport Museum Limited Statement of Cash flows for the year ended 31 March 2025
| Cash flows from operating activities Net income/(expenditure) per Statement of Financial Activities Adjustments for: Dividends, interest and rents from investments Increase in trade and other receivables Decrease in trade and other payables Net cash provided by/(used in) operating activities Cash flows from investing activities Dividends, interest and rents from investments Net cash from investing activities Net cash from financing activities Net increase/(decrease) in cash and cash equivalents Cash and cash equivalents at the beginning of the year Cash and cash equivalents at the end of the year Components of cash and cash equivalents Cash and bank balances |
2025 £ 74,466 (984) (2,481) (1,729) 69,272 984 984 - 70,256 38,029 108,285 108,286 108,286 |
2024 £ (8,476) (484) (290) - |
|---|---|---|
| (9,001) 484 |
||
| 484 | ||
| - | ||
| (8,517) | ||
| 53,538 | ||
| 45,021 | ||
| 38,029 | ||
| 38,029 |
Page 11
Aston Manor Road Transport Museum Limited Notes to the Accounts
for the year ended 31 March 2025
- 1 Accounting policies
Basis of preparation
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2015) - (Charities SORP (FRS 102)), the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) and the Companies Act 2006.
Fund accounting
-
Unrestricted funds These are available for use at the discretion of the trustees in furtherance of the general objects of the charity.
-
Designated funds These are unrestricted funds earmarked by the trustees for particular purposes. Revaluation funds These are unrestricted funds which include a revaluation reserve representing the restatement of investment assets at their market values.
-
Restricted funds These are available for use subject to restrictions imposed by the donor or through terms of an appeal.
-
Income
| Income | |
|---|---|
| Recognition of | Income is included in the Statement of Financial Activities (SoFA) when the charity |
| income | becomes entitled to, and virtually certain to receive, the income and the amount of |
| the income can be measured with sufficient reliability. | |
| Income with related | Where income has related expenditure the income and related expenditure is |
| expenditure | reported gross in the SoFA. |
| Donations and | Voluntary income received by way of grants, donations and gifts is included in the |
| legacies | the SoFA when receivable and only when the Charity has unconditional |
| entitlement to the income. | |
| Tax reclaims on | Income from tax reclaims is included in the SoFA at the same time as the |
| donations and gifts | gift/donation to which it relates. |
| Donated services | These are only included in income (with an equivalent amount in expenditure) |
| and facilities | where the benefit to the Charity is reasonably quantifiable, measurable and |
| material. | |
| Volunteer help | The value of any volunteer help received is not included in the accounts. |
| Investment income | This is included in the accounts when receivable. |
| Gains/(losses) on | This includes any gain or loss resulting from revaluing investments to market value |
| revaluation of fixed | at the end of the year. |
| assets | |
| Gains/(losses) on | This includes any gain or loss on the sale of investments. |
| investment assets |
Page 12
Aston Manor Road Transport Museum Limited Notes to the Accounts
Expenditure
-
Recognition of Expenditure is recognised on an accruals basis. Expenditure includes any VAT which expenditure cannot be fully recovered, and is reported as part of the expenditure to which it relates.
-
Expenditure on These comprise the costs associated with attracting voluntary income, fundraising raising funds trading costs and investment management costs. Expenditure on These comprise the costs incurred by the Charity in the delivery of its activities and charitable activities services in the furtherance of its objects, including the making of grants and governance costs.
-
Grants payable All grant expenditure is accounted for on an actual paid basis plus an accrual for grants that have been approved by the trustees at the end of the year but not yet paid.
-
Governance costs These include those costs associated with meeting the constitutional and statutory requirements of the Charity, including any audit/independent examination fees, costs linked to the strategic management of the Charity, together with a share of other administration costs.
-
Other expenditure These are support costs not allocated to a particular activity.
Taxation
The charity is exempt from corporation tax on its charitable activities.
Tangible fixed assets and depreciation
Depreciation is provided at the following annual rates in order to write off each asset over its estimated useful life:
Plant and machinery 10% straight line Fixtures, fittings & 20-33% straight line equipment
==> picture [205 x 48] intentionally omitted <==
The directors have revalued the museum exhibits on an adjusted market valuation having taken into account that as a charity it can only dispose of these assets for scrap or to another like-minded charitable body. The valuation takes into account the stage of restoration the assets are currently at. In the past external costs of restoration have been charged to profit.
Stocks
Stock is included at the lower of cost or net realisable value. Donated items of stock are recognised at fair value which is the amount the charity would have been willing to pay for the items on the open market.
Trade and other debtors
Trade and other debtors are recognised at the settlement amount due after any trade discount offered. Prepayments are valued at the amount prepaid net of any trade discounts due.
Cash and cash equivalents
Cash and cash equivalents comprise cash at bank and on hand, demand deposits with banks and other short-term highly liquid investments with original maturities of three months or less and bank overdrafts. In the statement of financial position, bank overdrafts are shown within borrowings or current liabilities. In the Statement of Cash Flows, cash and cash equivalents are shown net of bank overdrafts that are repayable on demand and form an integral part of the company's cash management.
Page 13
Aston Manor Road Transport Museum Limited Notes to the Accounts
Trade and other creditors
Short term creditors are measured at the transaction price. Other creditors and provisions are recognised where the charity has a present obligation resulting from a past event that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can be measured or estimated reliably. Creditors and provisions are normally recognised at their settlement amount after allowing for any trade discounts due.
Receipt of donated goods, facilities and services
All donated goods, facilities and services received are recognised within incoming resources and expenditure at an estimate of the value to the charity.
2 Company status
The company is a private company limited by guarantee and consequently does not have share capital.
3 Statement of Financial Activities - prior year
| 3 Statement of Financial Activities - prior year |
|||
|---|---|---|---|
| Income and endowments from: Donations and legacies Charitable activities Other trading activities Investments Total Expenditure on: Raising funds Charitable activities Other Total Net income Net income before other gains/(losses) Other gains and losses: Gains on revaluation of fixed assets Net movement in funds Reconciliation of funds: Total funds brought forward Total funds carried forward |
Unrestricted funds 2024 £ 10,820 25,126 15,383 484 51,813 1,757 13,071 53,860 68,688 (16,875) (16,875) 8,399 (8,476) 196,407 187,931 |
Restricted funds 2024 £ - - - - - - - - - - - - - 871 871 |
Total funds 2024 £ 10,820 25,126 15,383 484 |
| 51,813 1,757 13,071 53,860 |
|||
| 68,688 | |||
| (16,875) | |||
| (16,875) 8,399 |
|||
| (8,476) 197,278 |
|||
| 188,802 |
Page 14
Aston Manor Road Transport Museum Limited
Notes to the Accounts
4 Income from donations and legacies
| Donations 5 Income from charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising 6 Income from other trading activities Shop Cafeteria 7 Income from investments Bank interest 8 Expenditure on raising funds Fundraising trading costs Shop Cafeteria |
Unrestricted £ 19,898 19,898 |
Restricted £ 83,650 83,650 Unrestricted £ 10,738 10,922 1,687 868 24,215 Unrestricted £ 13,252 1,331 14,583 Unrestricted £ 955 29 984 |
Total 2025 £ 103,548 103,548 Total 2025 £ 10,738 10,922 1,687 868 24,215 Total 2025 £ 13,252 1,331 14,583 Total 2025 £ 955 29 984 Total 2025 £ - - - |
Total 2024 £ 10,820 |
|---|---|---|---|---|
| 10,820 | ||||
| Total 2024 £ 13,847 8,418 1,961 900 |
||||
| 25,126 | ||||
| Total 2024 £ 13,922 1,461 |
||||
| 15,383 | ||||
| Total 2024 £ 458 26 |
||||
| 484 | ||||
| Total 2024 £ 1,065 692 |
||||
| 1,757 |
Page 15
Aston Manor Road Transport Museum Limited Notes to the Accounts
9 Expenditure on charitable activities
| Unrestricted Total 2025 £ £ Expenditure on charitable activities Vehicle rental 662 662 Museum entry 14,973 14,973 Membership subscriptions 187 187 Fundraising 1,526 1,526 Governance costs 17,348 17,348 10 Other expenditure Unrestricted Total 2025 £ £ Corporation tax charge/(credit) 157 157 Motor and travel costs (1,464) (1,464) Premises costs 44,298 44,298 Amortisation, depreciation, impairment, profit/loss on disposal of fixed assets - - General administrative costs 7,805 7,805 Legal and professional costs 720 720 51,516 51,516 11 Net income/(expenditure) before transfers 2025 This is stated after charging: £ Depreciation of owned fixed assets - 12 Trustee remuneration and expenses 2025 Number Number of trustees paid expenses - The nature of the reimbursed expenses Reimbursement of charity expenses. |
Total 2024 £ - 11,516 187 1,368 |
|---|---|
| 13,071 | |
| Total 2024 £ - - 39,942 249 6,739 6,930 |
|
| 53,860 | |
| 2024 £ 249 2024 Number 6 |
13 Staff costs
No employee received emoluments in excess of £60,000.
Page 16
Aston Manor Road Transport Museum Limited Notes to the Accounts
14 Tangible fixed assets
| Cost or revaluation At 1 April 2024 At 31 March 2025 Depreciation and impairment At 1 April 2024 At 31 March 2025 Net book values At 31 March 2025 At 31 March 2024 15 Stocks Finished goods 16 Debtors Trade debtors Other debtors Prepayments and accrued income 17 Creditors: amounts falling due within one year Accruals |
Plant and machinery £ 2,023 2,023 889 889 1,134 1,134 |
Fixtures, fittings & equipment £ 156,484 156,484 - - 156,484 156,484 2025 £ 100 100 2025 £ 433 2,893 3,636 6,962 2025 £ 9,785 9,785 |
TFA 4 £ 3,112 3,112 3,025 3,025 87 87 |
Total £ 161,619 |
|---|---|---|---|---|
| 161,619 | ||||
| 3,914 | ||||
| 3,914 | ||||
| 157,705 | ||||
| 157,705 | ||||
| 2024 £ 100 |
||||
| 100 | ||||
| 2024 £ 80 (836) 5,237 |
||||
| 4,481 | ||||
| 2024 £ 11,514 |
||||
| 11,514 |
Page 17
Aston Manor Road Transport Museum Limited Notes to the Accounts
18 Movement in funds
| Restricted funds: Restricted income funds: Bus restoration general Total Unrestricted funds: General funds Revaluation Reserves: Revaluation fund Total revaluation reserves Total funds |
At 1 April 2024 871 - 871 67,462 120,469 120,469 188,802 |
Incoming resources (including other gains/losses ) £ - 83,650 83,650 59,680 - - 143,330 |
Resources expended £ - - - (68,864) (68,864) |
At 31 March 2025 £ 871 83,650 |
|---|---|---|---|---|
| 84,521 | ||||
| 58,278 120,469 |
||||
| 120,469 | ||||
| 263,268 |
Purposes and restrictions in relation to the funds: Revaluation reserves Represent the amount by which investments exceed their historical cost. Restricted funds: Bus restoration general Donations received for the general restoration of buses
19 Analysis of net assets between funds
| Fixed assets Net current assets 20 Reconciliation of net debt Cash and cash equivalents Net debt |
Unrestricted funds £ 151,521 100,158 251,679 At 1 April 2024 £ |
Restricted funds £ 6,184 5,405 11,589 Cash flows £ |
Total £ 157,705 105,563 |
|---|---|---|---|
| 263,268 | |||
| At 31 March 2025 £ |
|||
| 38,029 | 70,257 | 108,286 | |
| 38,029 38,029 |
70,257 70,257 |
108,286 | |
| 108,286 |
Page 18
Aston Manor Road Transport Museum Limited Notes to the Accounts
- 21 Related party disclosures
Controlling party
There is no controlling party
Page 19
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
for the year ended 31 March 2025
| Income and endowments from: Donations and legacies Donations Charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising Other trading activities Shop Cafeteria Investments Bank interest Total income and endowments Expenditure on: Costs of other trading activities Shop Cafeteria Total of expenditure on raising funds Charitable activities Vehicle rental Museum entry Membership subscriptions Fundraising Total of expenditure on charitable activities Other expenditure Corporation tax charge/(credit) Motor and travel costs Vehicles - Insurance and licences |
Unrestricte d funds 2025 £ 19,898 19,898 10,738 10,922 1,687 868 24,215 13,252 1,331 14,583 955 29 984 59,680 - - - - 662 14,973 187 1,526 17,348 17,348 157 157 (1,464) |
Restricted funds 2025 £ 83,650 83,650 - - - - - - - - - - - 83,650 - - - - - - - - - - - - - |
Total funds 2025 £ 103,548 103,548 10,738 10,922 1,687 868 24,215 13,252 1,331 14,583 955 29 984 143,330 - - - - 662 14,973 187 1,526 17,348 17,348 157 157 (1,464) |
Total funds 2024 £ 10,820 |
|---|---|---|---|---|
| 10,820 | ||||
| 13,847 8,418 1,961 900 |
||||
| 25,126 | ||||
| 13,922 1,461 |
||||
| 15,383 | ||||
| 458 26 |
||||
| 484 | ||||
| 51,813 1,065 692 |
||||
| 1,757 | ||||
| 1,757 - 11,516 187 1,368 |
||||
| 13,071 | ||||
| 13,071 - |
||||
| - | ||||
| - |
Page 20
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
| Premises costs Rent Rates Light, heat and power Premises insurances Premises repairs and maintenance General administrative costs, including depreciation and amortisation Depreciation of Plant and machinery Depreciation of Fixtures, fittings & equipment Bank charges General insurances Software, IT support and related costs Stationery and printing Sundry expenses Telephone, fax and broadband Legal and professional costs Accountancy and bookkeeping Other legal and professional costs Total of expenditure of other costs Total expenditure Net gains on investments Net income/(expenditure) Net income/(expenditure) before other gains/(losses) Other recognised gains and losses Gains on revaluation of fixed assets Other Gains Net movement in funds Reconciliation of funds: |
(1,464) 35,000 3,228 3,345 2,383 342 44,298 - - - 505 4,008 39 - 2,330 923 7,805 720 - 720 51,516 68,864 - (9,184) (9,184) - - (9,184) |
- - - - - - - - - - - - - - - - - - - - - - - 83,650 83,650 - - 83,650 |
(1,464) 35,000 3,228 3,345 2,383 342 44,298 - - - 505 4,008 39 - 2,330 923 7,805 720 - 720 51,516 68,864 - 74,466 74,466 - - 74,466 |
- |
|---|---|---|---|---|
| 32,000 2,915 2,103 2,176 748 |
||||
| 39,942 | ||||
| 162 - 87 538 3,845 70 696 935 655 |
||||
| 6,988 | ||||
| 720 6,210 |
||||
| 6,930 | ||||
| 53,860 | ||||
| 68,688 - |
||||
| (16,875) | ||||
| (16,875) 8,399 - |
||||
| (8,476) | ||||
Page 21
Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities
| Aston Manor Road Transport Museum Limited Detailed Statement of Financial Activities |
||||
|---|---|---|---|---|
| Total funds brought forward Total funds carried forward |
187,931 178,747 |
871 84,521 |
188,802 263,268 |
197,278 |
| 188,802 |
Page 22