Company r¢￿StratiOn number.. 02294554
Charity registration Dumber.. 800849
Huntingdon, Peterborough and Cambridge MS Therapy
Centre Ltd
known as
H￿lingdOn Neurotherapy Centre
IA compgny limited by guar8nitt}
Report and Finan¢i¥l St4remen
for the Year Ended 3 l December 2025

Huntittgdon. Peterborough and Cambridge MS Therapy Centre Ltd
known as Huntingdon Neurotherapy Centre
Contents
Reference and Administrhtive Detsi]5
TTUStee5' Rep(￿1
Statement of TNstecs' Rcspon5ibilities
Inde￿ndent Exhminees Report
Siaiemeni of Finan¢ial A¢tivitie$
S￿6
Balance Shtti
Notes to The Financial Siaiemenis
to 12

Huntingdon, Peterborough and Cambridge MS Therapy Centre Ltd
known as Huntingdon Neurotherapy Centre
Reference and Administralive Detaib
Ch#rity Regi5tratioll Number
800849
coM￿nY R¢gl$tr*tlon Number
02294554
Registered Office
Bradbury House
Mayfield Road
Huntin8don
Cambridgeshire
PE29 IUL
Independent Examlner
D A Green & Sons
Chartered Certified A¢¢ounthni
12 The Broadway
St Ives
Cambrid8eshire
PE27 5BN
Pa8e I

Huntingdon. Peterborough 4nd Cambridge MS Therapy Centre Ltd
known as Huntingdon Neurotber8py CeDtre
Trustees, Report
Th¢ trustees, who are direc￿T$ for the purpK)ses of co￿panY laiv. pres¢nt the annual rcport together with the
financial ststetneThts and auditor5. report of the charitsble ￿MpanY for the year cnded 31 D¢ttmb¢r 2025.
Obj¢ctiv¢J and activities
Objects
The main aiins of the MS Therapy Centre are to provide aid and improve the CO￿1]tiOn of ihose suff¢rin8 from
Mulitpl¢ S¢l¢rorsi5 IMS) and oiher neurological Condiiions.
The Charity h&s the g¢nero1 aim of impn)ving the quality of life of anyone affected by MS or another
neurol81c￿ condiiion. thhs help ¢xiends to th¢ir families and carers
Trust¢¢J ond
The irnstees and otTiceTS seTvill8 durtn8 the year since the year end were as follows..
TNsrees.'
NJCBaker
Mr T J Barke
IFScott
Nlrs S Holli$
S Docheny Iresi¥ned 15 January 20251
SMAII eomp8nles prow151on st#temeni
This report has been prepard in a¢cordat)c¢ with th¢ small Companies re8ime under the Companies Act 2006.
The annual report was approved by the ¢nLSiees of th¢ ¢hariry on Tr.'.Y.IL... si8n¢d on its behalf by..
Tru5tc¢
Pagc 2

Huntingdon, Peterborough aDd Cambridge MS Therapy Centre Ltd
knowll as HuntiDgdon Neurotherapy Centr¢
Statement of Trustees, R¢5poDsibilities
The trnstees (WI￿ are also the directors of Huntingdon. Pet¢Tb)rough and Cambridge MS Thcrapy Centre Ltd
for the purpo￿$ of ¢ompaThv lawl are re$p)ts$ible for preparing the trustees, report and the financial statements
in accordance with applicable law and Generally .4cc¢pied Accouniing Proctiv in Ireland. including FRS 102
"The Financial R¢porting Stsndard applicable in the UK athd Republic of I￿1￿￿￿..
Company law re4uires the trus￿9 ¢0 prepar¢ financial statements lor each financial year. UThder cornpany law
th¢ trustees must not apprtsve the financial ￿81cMentS unless they are satisficd that they give a true and fair view
of the state of affaiTS of the charitsble company and of the in¢oming resources and application of r¢50urce5.
including its income and expenditure. of thc Charitsble company for tho1 period and othetwse compl>. with the
Compani¢5 Art 2014. In preparing these financia] stsiemenis. the trusiees ore r¢quired to:
select suitable a¢¢ounthng policies and apply them con5i5tenily:
obsetve ihe methods and principles in the Charities SORP:
make judgements and estimates that are redson&bl¢ and ptwdent.
s¢aie whether applicabl¢ occountin8 5tandBrds. comprising FRS 102 have been followed $ubje¢i to any
maierial depanvres dis¢los¢d and ¢xplaiThed in Iht finhnciil statements; and
prepar¢ the financial statements on the going concern ba515 unless il is iD4ppropriate to pr¢sum¢ that the
¢hari1oble ¢omp8ny will ¢onELIJU¢ Ln business.
The trusiees are responsible for ensuring that the charitsble company keeps or causes w be kept adequate
OILnting records which eorreeily explain and rfford the trdnsactiotts of the charitable compathy. enable ai any
lime the assets. liabiliti¢s. financial position and surplus or deficii of the charitable company kn be determined
with reasonable a¢cura¢y. eThabl¢ them to ensure thai the financial Sthtemenis complv Mith the Companies Act
2014 and enabl¢ the financial siaiements to be audiied. They are also resrx)nsible for saf¢8uarding the a$5ets of
Ihe chari¢able compony and h¢n¢¢ for tsking reasonable Sieps for the pffveniion and deieciion of frnud and oth¢r
ITre8ularities.
The trustees &re responsible for iht mainl¢nance and inte8rity of the corporate and financial infomiaiion
included on the charitablc ¢ompany's website. L¢8151ation governin8 the preparation •Ad disstmirtation of
fin8n¢ial statements may differ from le8i$laiion in other jurisdietions.
Approved by the trusiees of lh¢ charity on ..............
..and s1￿cd on lis beh8lf by..
ke
Trus
Page 3

Huntingdon* Peterborough and Cambridge MS Therapy Centre Ltd
known as Huntingdon Neurotherapy Centre
Independent Examiner's Report to the trustees of Huntingdon, PeterI￿rough and
Cambridge MS Therapy Centre Ltd {'the Compafty'}
I report to the charity trLL8te¢s on my examination of the a￿O￿A￿ of th¢ Company for the year ¢nd¢d 31
December 2025.
Responsibiliti¢s *Dd b*$i$ of r¢port
As the charity's ¢wstees of ihe Compwy (￿d also its direC￿ts for the purposes of o)mpany lawl you
re5pon5ible for the prepardtion of thc accounts in accordance with the wuirements of the Companie5 Act 2006
I'th¢ 2006 Act'l.
Having ￿tiSfied myself thai the accounts of the Company are required to be audited under Part 16 of the
2006 Act and are eligible for independcnt examination. I report in respect of my examination of your charity'5
accounts as ca￿1td out under sedion 145 of the Chhrities Act 2011 I'the 2011 Aet'l. In ca￿1n8 Out my
examination I have followed the Direciions given by the Chgrity Commi55i0n under wiion 145(51{bl of the
2011 Act.
lttdependent eximiner's statement
I h8v¢ ¢ompleted rny exarnination. l eonflmi that tto matters hAV¢ tome to my attention in connectiort with the
examinaiioa giving me ¢¥use to beli¢v¢:
l. a¢¢ounrinB rewrds w'ere noi k¢pr in r¢5pffi of Huniin8don. Pet¢throu8h #nd Cambridge MS Th¢rnpy
Centre Lid is r¢quir¢d by 5¢¢tion 386 of the ?006.4d: or
2. th¢ accounts do not aceord with those rteords.. or
3. th¢ ￿COUnt$ do noi comply th¢ a¢countanB rtquir¢m¢nts of se¢tion 291 of the 2014 A¢t other thon
any requirement that the accouttts 8Lve a '¢rue and fair view. which is noi a matrer considered as pan of an
independent examination: or
4. th¢ accounts have not been prep￿ed in accordance with the methods and principles of the Siaiement of
Reeomrnended Practice for accounting artd rep)rting by Charities lapplicable io ¢hari¢ie5 preparing ¢heir
a¢¢ounis in accordance with the FinaThcial Reportin8 Standard applicable in the LK and Rcpublic of
11¢18nd IFRS 10211.
I have no ¢oncem$ have come across no other matters in connection with the examination to which attention
should b¢ drawi in this report in order to ettable a proper undetst8rtdin8 of the accounts to be r￿h¢d.
Jason Green
Chartered Certified A¢¢ountant
FCCA
12 Th¢ Broadway
St Ives
Cambridgeshire
PE27 5BN
Pa8e 4

Huntingdon, PeterI￿rOugh and Cambridge MS Therapy Centre Ltd
known as HuDtingdon Neurotherapy Centre
Statement of Financial Activities for the Year Ended 31 December 2025
(Including Income aud Exp¢nditure Account and Statement of Total Recognised Gains
aDd Losse5)
UDrestricted
futtds
Restricted
funds
Total
2025
Note
Income EndowmeDts from:
Donation5 and l¢gaci¢s
Other trddinu activities
Investment income
14,781
110,531
1,104
14,781
110.531
1,104
Total income
116,416
126.416
Expenditure oth:
Raisins funds
Clwitable activities
49.639
64,5?]
23.587
73,226
64,59]
Total cxperhditure
114,160
23.587
137,747
et ittwme {expendiDaYe}
12i,5871
Net movement in fvnds
12256
(23.5871
Re¢ort¢iligtioll of funds
Total fimds brought fon¥ard
T<rtal fimds Carri￿ fon¥ard
104.iol
367.968
472,269
116,5)7
Lnrestrieted
fuDd5
344,381
Restrieted
fund5
460.938
Total
2024
Note
Inrome #nd EDdowments from:
Donatsorts 2nd legacies
Other trading actiN'itie5
Investment income
13.019
81,286
778
13.019
81.286
778
T￿81 income
95.083
95,083
Expenditure OM:
Raisino funds
Ciiariiabl¢ artivities
36.734
40.378
2i.587
60,321
40,378
Total expenditure
Nei irt¢ome.Il¢xpenditurel
77.112
2i.587
100.699
17.971
123,i871
15.6161
Nei movement in funds
17.971
{23,5871
15,616}
Reconciliation of fund$
Total fimds brought ftsrwd
i91.555
477.885
Total funds carried fon¥ard
IfH,iOI
367.968
472.269
Th¢ Thot¢s on pages 8 to l? fom an integral part of these financial ststements.
Page 5

Huntingdon, Peterborough and Cambridge MS Thernpy Centre Ltd
known as HuntingdoD Neurotherapy Centre
Statement of Financial Activities for the Year Ended 31 December 2025
neluding Income and Expenditure A¢count and Statement of Total Recognised Gains
nd Losses)
The fwjds breakdown for 2024 is showth ift noie 9.
The notes on pages 8 10 l? form an tntegrnl part of these financial stsiements.
Pa8e 6

Hunlingdon, P¢t¢rborough and Cambridge MS Therapy Centre Ltd
known gs Huntingdon Neuroiherapy Centre
(Registration number: 02294554)
Balance Sheet a5 at 31 December 2025
2025
2024
Note
Fixed •ss¢ts
Tangible assets
417.353
430.292
Current qssets
Debtors
Cash at bank and in hnd
1.756
64.299
68,932
70.051
66.OS5
Creditors: Amounts falling due within o￿t ye*r
{26.466
124.078
Iyet turrent ameis
43.585
41.977
Net AsJetJ
460,938
472.269
Funds of the chlrlty:
RestTl¢ted Income funds
Resiricied ￿ndS
344,381
367.968
Unrestrlrted ineome funds
Unresiricred fvnds
116.557
104.301
TotAI funds
472.269
For the financial year ending 31 Deeember 2025 ihe eh8Tity was entitled io exemption from wdit under secii¢)rt
477 of th¢ Companies Aet ?006 rel8tin8 to small eompanles.
Direciors. responsibilities:
The members have noi required the Charity ￿ obtain on audit of its a¢counts for the year in qu¢stion in
a¢cord#n¢¢ with s¢¢tion 476"
The directors acknowled8c their responsibÈlities for complyin8 with the wuir¢ments of thc Act with respect
to accounting records and the preparation of accounts.
Thc
In n¢ial statements on pa8e$ 5 to l2 were approved by the tntstee5. 8Thd authori5ed for issue on
*ILand signed on their behalf b).:
MrTJ
T￿￿le¢
The notes on page$ 8 to 12 fonn an intr8ral part of thcse financial statements.
Page 7

Huntingdon. Peterborokngh and Cambridge MS Thernpy Centre Ltd
known *s Hyntingdoll Neurotherapy Centre
Notes to the Financial Statements for the Year Ended 31 December 2025
l Actounting policies
Stsmmary ofilgnlflelnt #ccounilng polleles #nd key •ceountlrtg estlmat
The principal ac¢ountiog poli¢ies applied in the prepaTaiion of ihese financial stsiements are set out b¢low.
These policies have been con$isienily applied to all the years presenie4 unless othernvise ststed.
Statement of compli8llCt
Thc f2nancial siatetnenls have been prepared in a¢o)rdance with Accourtting and Reporting by Charities:
Statemerkt of Recommended Praciice {appli¢able ￿ ¢har¢iies preparing their accounts in accordanee with the
Financial Reponin8 Srandard applicable in the LTK and Republic of Ireland IFRS 10?1} {issued in October ?0191
ICh)riiie$ SORP IFRS 10?11. the Financial Reporting Stsndard applicable in th¢ UK snd Republic of Ireland
IFRS 1021 and the Companies A¢t 2014.
Basls of prep&rxtlon
Huniingdon. Peierborough and Cambridge NIS Therapy Centre Ltd meets th¢ definition of a public benefit
eniity under FRS 102. Assds ond liabiliiie5 are initially reco8nis¢d ai histori¢81 Cosi or rT8n$?¢iion value Linle5S
otherwise stated in the relevani ￿cOunting poliq notes.
Golng eoncern
The Irusiees ¢on5id¢r ihai ther¢ 4r¢ tKJ maierial uncenainties alM)ui ihe charity's ability to ￿ntinue •$ a 8OLns
¢oncern nor any si8nif1¢4nt 2re¥s of uncertainty that affect the canyin8 value of assets held by the charity.
Incomt and tttdowmenti
All income is re¢ognis¢d onc¢ the charity h35 entitlement to the inc¢)me. it 15 probable that the inci)mc will be
received and Ihe ￿nO￿nI of Ihe incom¢ receivable can be measured reliably.
Expenditure
All expendiiure Is reeognised once ihere is a le881 or con$trudive obligation to ihwl expenditure, it is Probable
settlcment LS required and ihe amouni be measured reliably. All ￿$ts are ¥llocated to the applicable
expenditurc heading that aggregate similar costs to that cate80ry. Where costs ¢annot be directly attributed to
particular headin85 thty have been allo¢aied on o basis ¢onsisient ￿1th the use of resouTC¢S, With central Staff
costs allocated on the basis of lime spent, and depreciation charges allo￿ted on the poni¢)n of the a55et'5 use.
SUPFK)t1 ¢05ts are allocated based on ihe spread of sulT¢osts.
Governxnee Costs
These include the costs attributsble to the charity's compliance wth constitutional and statutory ￿quireMents,
including audiL sttat¢gi¢ management and trustees meetings and reimbursed expethses.
T¥x*tio
The charity 15 exempt from COTwJratioTh tax on its charitable acttvitie5
Page 8

Huntingdon. Peterborough and Cambridge MS Therapy Celltre Ltd
known as Huntingdon Neurothernpy Centre
Not¢4 to the Financial Statements for the Year Ended 31 Deeember 2025
DepreciAtion gnd amorti94tio
Dcpre¢iatLOll 15 proi'ided on tangible fixed asset5 SO IS to WTite off the cost or valuation. less any estimated
residual value. ov¢r th¢ir ¢xp¢rt¢d useful economie life &% folloThs'.
Ass¢¢ cla
Short leasehold
Plani and machinery
D¢preei#iion thethod and rite
Over the remaining lease tern)
Straighi line over 15 years
CAsh #nd c95h equivalents
Cash and cash equivalenis comprise cash on hand and call deposits, and other short-tem hi8hly liquid
invegtmenis that are readily eonvertible ￿ a known amount of cash and are subject to an insignificant risk of
¢han8e in ￿lue.
Fund Jiructure
UnTestTlCted income fuThds are 8enernl funds t￿( are available for use at ihe trustets discretion in fvrtherAnee of
the objectives of the charity.
Restri¢¢ed income funds are those donaied for use in a pAr¢icular ¥rea or for specifi¢ purposes, the use of which
LS restricted to that area or purpose.
Pension$ and other post retirernent obli¥8tions
The charl￿. operates a defined ¢oniribuiion pensiott sth¢me which is a pension plan under which r￿ed
¢otttribuiiorts are paid into & p¢rtsion fvnd and ihe Chariry h&$ no le881 or ¢onstyuaii'e obligation io p&), further
Contributions even if the fund does noi hold sufficieni assets io pay all employees the benefits rel&iing to
employee Serviee in the Current And prior periods.
Contribu¢ion5 10 defLDed WDtribution plans ￿¢ r¢cognis¢d in the S¢&iemeni of Firtathcial Activities when they are
due. If ¢oniribution paym¢nis ex¢¢ed the eontributi¢)rt due for seTviee. the excess is reeosnised as a preptyment.
2 1S¢t In¢ominWoutgoing ruourres
Nei ouigoing resour¢es for th¢ year in¢ludv.
2025
2024
Depreeiition of fixed 8sseis
29.828
28,760
3 Trustees remun¢ritlOR and expenses
No trusiees, nor any persons ¢onn¢¢ted with them. have received ￿Y remunerntion from the charity during the
year.
Page 9

Huntingdon, Peterborough and Cambridge MS Tberapy Centre Ltd
known as Huntingdon Neun)therapy Centre
Notes to the Financial Statements for the Year Ended 31 December 2025
4 Staff ¢os¢$
The monthly average number of persons (inelLtdin8 senior management / I¢￿ershiP t¢aml employed by th¢
charity durin8 the yvdr expressed a5 ￿11 lime equivalents 0$ follows..
2025
No
2024
AdmiDiStraiion
No employee received emoluments of mor¢ than £60.01)O during th¢ year.
Pag¢ 10

Huntingdon. Peterborough and Cambridge MS Thernpy Centre Ltd
known as Huntingdon Neurotherapy Centre
Notes to the Financial Statements for the Year Ended 31 December 2025
5 T*ngibl¢ fix¢d ￿￿ets
L#nd and
buildings
Furniture gnd
equipment
Total
Cost
At l January 2025
Additions
926.980
119,514
16,889
1.046.494
16,889
At 31 December 2025
926.980
136.403
1,063,383
D¢pre¢iation
At l January 2025
Char8e foT ihe year
526.489
23.587
89.713
6.241
616.202
29,828
Ai 31 December 2025
550.076
95.954
646.030
Iytt book value
At 31 December 2025
376.904
40.449
417.353
At 31 Dettmber 2024
400,491
?9.801
430 792
6 Debtorg
2025
2024
Trade debtors
Prtpaymert¢S
Oiher debtors
987
132
1,021
179
556
.756
7 CHsh ind e*sh equlvAlent$
2025
2024
C￿h on hand
Cash at b•nk
150
68.782
150
64.149
68.9i2
64,299
Page 11

Huntingdon, Peterborough and Cambridg¢ MS Therapy Centre Ltd
known as Huntingdon Neurotherapy Centre
Notes to the Financial Ststements for the Year Ended 31 December 2025
8 Creditors: amounts falling due within ODe ye*r
2025
2024
Trdde creditors
Other creditor5
Accruals
12.363
11.997
2,106
2,813
18.807
2,458
26,466
24,078
Other creditors in¢lud¢ £1 1.050 1?023 £nil) in respe¢1 of unspent funds from a re51Ticied fund liability for a
Sport England Award. This ¢xpendityr¢ is ex￿le￿ io be incurrtd in fiall in the yw to 31 De¢¢mber 2025.
9 Funds
B8lAnte Bt 31
December
2025
Bglaoce il I
J*thu*ry 1025
In¢oming
Resources
exptnd¢d
Unrestricted funds
Genenl
104.301
126.416
1114,1601
116,557
Resirltted furtds
367.968
23.587
344,381
Total funds
472,269
126,416
137.747
460,938
B*I￿n¢t It 31
December
2024
BAIADce •( I
JanM#r)' 2024
ltttomlng
resourtts
R￿QUrE
expended
Unrestricted funds
Gener
86.330
95.083
{77.112}
23,587
104.301
Re$tri¢ted funds
391,555
367 968
Total funds
477.885
95.083
1100.699
472.269
Page 12