COMPANY REGISTRATION NUMBER: N1037711
CHARtrY REGISTrATION NUMBER: 108177
Mullaghmore and Castleview Community
Association
Company Limited by Guarantee
Unaudited Financial Statements
31 January 2025

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
Financlal Statsments
Year ended 31 January 2025
Page
Trustees, annual report (incorporating the directorfs report)
Independent examinerfs report to the trustees
ststement of financial activities (including income and
expenditure account)
ststement of financial posttion
Notes to the financial ststements
The following pages do not form part of the flnancial statem•nts
Delailed ststement of finanrAal activities
15
Notes to the detailed statement of financial activities
16

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
Trustee8' Annual Report (Incorporating the Dir•¢torfs Report)
Year ended 31 January 2025
The trustees, who are also the directOT5 for the purposes of company law, present their report and the
unaudited finaneial statements of the charity for the year ended 31 January 2025.
Reference and administrative detai
Regislored charity name
MullaghrrKJre and Castleview Community Assoriation
Charlty roglstrallon numbor
Company registralion number N1037711
Principal office and roglstered 21A Kncckshee Park
Mullaghmore
Omagh
County Tyrone
BT79 7PH
108177
The trusts08
S Reid
A co￿an
C Grimes
M M¢Kieman
P co￿an
Independent exarnln•r
Nial Colhoun
Unil 815
Om4h Enterprise Centre
Great Northem Road
OMAGH
Co Tyrone
BT78 SLU
Structurn and govemance
The trustees. who are also th8 director5 for the purposes of company law, a￿ elected on an annual
basis. Trustees take risk managetTEnt 5erKJusty and have in pl* prccedures of how the charty
should be managed. The Trustees meet on a regular basis and a￿ respjnsible for the strategic
dlrection of the charity.
Objectlves and actfvhies
The charity's Fxincipal ¥tivity is to ensure Ihat those INing in the area woukl be ab￿ to access and
experience the same opportUn￿eS as their peers. The area has been re￿nISed as a Focket of high
deprivation in a largely affluent area and it is wrth this in mind that we strNe to ensure our community
achieve these aims.

Mullaghmore and Castleview Community Association
Company Limlted by Guarantee
Trustoes, Annual Report (Incorporating the Director's Report) (contlnued)
Year ended 31 January 2025
Achievemonts and perlormance
The charity continues to be very busy. The charity works with public and private bodies. including
Department for Communities, FODC and Nl Housing Executive to provide seNices for the local
communty to maintain and improve mental, physical, social and educational wèllbeing. Throughout
the year the charity successfully held many events in the centre including fftness and musical classes,
along with trips, partictu5arly for the youth lo Jungle Nl and Arm8gh Observatory amoung others.
Flnanclal revlgw
Mullaghmore and Castleview Community Association had an overspend of £25,374 for the year ended
31 January 2025, compared to generating a surplus of £10,470 in the previous ffnancial year. The net
asset position at 31 January 2025 is £65,273. of which £6,343 is classified as restricted.
Small company provlsions
This report has been prepared in a¢o)rdan￿ with the provisions applicable to companies entitled to
the s￿￿11 companies exemption.
The trustees, annual report was approved on 17 December 2025 and signed on behalf of the board of
trustees by..
a CR+J Cfy-
P Colgan
Trustee

Mullaghmore and Castleview Community Association
Company Limitsd by Guarants•
Independent Examinerfs Report to the T￿￿te8$ of Mullaghmorn and Castlavlew
Community Association
Year onded 31 January 2025
I report to the trustees on my examinati￿ of the financial slatsffents of Mullaghrnre and Castlewew
Communty Association (the charw) for the year ended 31 January 2025.
Responslbilities and basis of
As the trustees of the company (and also its dIr￿[S for the purposes of company 18w} you are
responsible for the preparation of the finan￿al 5tatemenis in accordance 7Mth the requirements of
Charities Act (Northern Ireland) 2008 {the '2008 A£Y} and the Companies Act 20(￿ I'the 2006 Act'i.
You are satisfied that the accounts of the company are not requirgJ by charity or wmpany law to be
audited and have Chosen instead to have an independent examination.
Having satisfied myseK that the acDJunts of the o)mpany are not required to audf(ed under Part 16
of the 2006 Act and are eligib￿ for independent examination. I report in reS￿t of my examinatr.on of
the charity's financial statements as carried oul under wtion 65 of the 2￿8 ACL In tsrrying out my
examination I have followed the geneTal Direc￿n$ given by the Charity Commission for Norlhem
Ireland under section 6519){b} of the 2008 Act
Independont examlnerfs statement
I have completed my eXamInat￿n. I confimi ihat no matters have come to my attenticm in cOnn￿￿'0n
with My examination giving me cause to believe that in any material respect..
accounting reccKd5 were not kept in respect of the charity as required by sectpjn 386 of the
20C6 A¢(" or
the financtal staternents do not accord with those records: or
the finanaal ststements do not comply wfjth the accounting requirements of section 3* of
the 2006 Act other than any requirement that the a¢counts give a 'true and fairf view which
is not a matter considered as part of an independent examinabon,. or
the finanoal statements have rK)t been prepared in aLxordance wtth the methtyJ$ and
principles of the Statement of Recommended Practice for accounb.ng and reporbng by
charities applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland IFRS 102)

Mullaghmore and Castleview Community Association
Company Limitsd by Guarantee
Independent Examiner's Report to the Trusts88 of Pllullaghmore and Castleview
Community Assoclation (¢ontinu8dJ
Year ended 31 January 2025
I confirm Ihal there are no other matters to which your attention should be drawn to ènable a proper
understanding of the accounts to be reached.
Ni81 Colhoun
Independent Examiner
Unit B15
Omagh Enlerpdse Contre
Great Northem Road
OMAGH
Co Tyrone
BT78 SLU
17 December 2025

Mullaghmore and Castleview Community Association
Company Limited by Guarants•
Statement of Financial Activities
(Including income and expenditure account)
Year ended 31 January 2025
2025
unrestr￿￿￿ Restricted
funds
funds Total funds Tt)lal funds
2024
Income and 0ndo￿nents
Donat￿1nS and legacies
Charitable actNities
6.435
17.201
23,636
18.639
25.074
17,201
66,773
11,624
78,397
Total In￿Me
18.639
42,275
Expenditu
Expendilure on charitable activibes
Total expendiiur•
22,187
45,462
67,649
67.649
67,927
67,927
22,187
Net lexpondllure}lincome and nat
movement in funds
1,449
(26,￿23)
125,3741
10.470
Reconciliation of funds
Total funds brought forward
Total fvnts carried forward
57,481
58.930
33,186
6,343
,647
65,273
80.176
90,647
The statement of financial activtites include5 all gains and losses rec(y3nised in the year.
All income and expenditure derive from continuing activtties.
Th• n¢)tss on pagM 8 10 13 forni part of theBe financial statements.

Mullaghmore and Castleview Community Association
Company Limlted by Guarantee
Statsment of Financial Position
31 January 2025
2025
2024
Fixed assets
Tangible fixed assets
10
382.782
402.903
Curr•nt assets
Debtors
Cash at bank and in hand
11
1.485
2,582
4,C67
2.268
32.882
35,150
Creditors: amounts falling due wlthln one year
Net current Ilabllitios
12
6,093
(2.026)
380.756
10,567
24.583
Total a$sets1oss current Ilabilities
427,486
Credttorn: amounts falllng due aftor more than one yoar
Not assets
13
315,483
65,273
336.840
90,646
Funds of the charity
Restricted funds
Unrestrict&d fiJnd$
6.343
58,930
65,273
33,1e6
57,481
,647
Tolal charity funds
15
For the year ending 31 January 2025 the tharity was entiued to exemption from audit under section
477 of the Companies Act 20¢A relating to small wmpanies.
DirectOT5' restKJnsibilities.'
The members have not required the company to obtsin an audit of its financlal statements for the
year in questt.on in accordance wtth section 476;
The di￿torS ackn(hvledge tr￿1r responsibilities for comptying with the requirements of the Act
with respect lo accounting [￿rdS and the preparation of financial strdterrents.
These financial slatements have teen prepar￿ in accordan￿ wlth the provisKtns applicabfe to
companies subject to Ihe small companies, regime.
The ststement of financial position
continues on the following page.
Th• notss on pages 8 to 13 form part ofthese flnan¢lal statements.

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
ststement of Financial Position {cuhinu•dJ
31 January 2025
These financial statements were approv￿ by the board of trustees and authorisgj for issue on 17
December 2025, and are signed on behalf ofthe board by:
C Grimes
Trustee
P Colgan
Trustee
The not•s on pag•s 8 to 13 forni part of these fin•￿181 statemeTts.

Mullaghmore and Castleview Community Association
Company Limit•d by Guarantee
Notes to the Financlal Ststements
Year ended 31 January 2025
General Information
The charity is a public benefit entity and a prNate company limited by guarantee. registered in
Northern Ireland and a registered charity In Northem Ireland. The address of the registered office
is 21A Knockshee Park, Mullaghmore, Ornagh, County Tyrone, BT79 7PH.
The principal athity of the compaTry is to improve the condttions of life for Inhabitants of
Mullaghmore and Casueview and the district of Omagh.
statement of ￿mplIance
These financial State￿￿nts have been prepared In Complian￿ with FRS 102, 'The Financial
Reporting Standard applicable in the UK and the Republic of Ireland,, the 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 IFRS 1021 {Charities
SORP {FRS 102)) and the Companies Act 2006.
Accounting pollclgs
Basts of preparatlon
The financial statements have been prepared on the historical ￿$t basis.
Going concern
The trustses are in regular contact with local authorities to seGure new sources of grant aid to
help with programme costs, and aw confident they will seGure the same level of rental income for
the next ￿e1ve months. The trustees are of the view that measures taken post year end have
helped secure the immediate future of the ¢ompany and therefor8 contlnue to adopt the going
concem basis in the preparation of the a￿ounts.
Judgements and key 80urces ol estlmation uncertalnty
The preparation of the flnancial statements requires management to m8ke judgements,
estimates and assumptions that affect the amount5 reported. These estimates and judgements
are continually reviewed and are based on expertence and other factors, including expectations
of future events that are believed to be reasonable under the arcumstances.
Fund accountlng
Unrestricted funds are available for use at the discretion of the trustees to further any of Ihe
charity's purposes.
Restricted funds are subjected to restrictions on their expendtture declared by the donor or
through Ihe terms of an appeal, and fall into one of two 5ub-c(asses.' re51riGled income funds or
end¢)wment funds.

Mullaghmore and Castleview Community Association
Company Limited by Guarants•
Notss to the Financial Statements (conbnu•d)
Year ended 31 January 2025
Accounting polkles fconbnu
Incomlng resources
All income is irbcluded in the Statement of Financial A¢livib'es when entitlement has passed to the
Charity, il is probable that Ihe economic benefits associated wrth the transaction will flow to the
charity and the amounl Can be reliabty ￿￿as￿le￿. The following specific policies are applied to
particular categories of incorre".
income from donat￿nS or grants is recognised when the￿ is evidence of enb"tlement to the
gift. receipt is probabk and rts ar￿Unt can te measured reliabty.
income from contracts for the svppty of Serv￿ is reccgnised wrth the delivery of the
contracted serV￿e. This is classified as unreslricled lunds unless there is a conlraclual
requirement fof It lo be spent on a partscular purpose and retumed if unspent, in which case it
may be regarded as restricted.
Resourc￿ oxpend•d
Expenditure is recognised on an accruals basis as a liability is incufred. Expenditure includes any
VAT wh￿h cannot be lully recovered. and classified under headings ol the statement ol
financial acl¢vibes lo which Il relates
expenditure on raising fvnds includes the ¢osts of all fvndraising activit￿5. events.
non-charitable trading activilies, and the Sa￿ of donated goc#Js.
expenditure on chafitable aclNities includes all costs incurred by a charity in undertaking
activit￿S that further Ils charitable aims for the benefit of rts beneficiaries, including those
support costs arsd cosls relabng lo the governance of the charity apporboned to charitable
a¢livilies.
other exp8nditure includes all expendrture thal ts neither related to ratsing funds for the
charty nor part of ils expenditure on chanlable activities.
All costs are allouted lo expenditure categories refiecling the use of the resource. Direct costs
attributsble to a single activsty are allocated direclly lo that activity Shared costs are apportioned
be￿een the activities they contribute to on a reasonable, iustt"fiable and consistent basis.
Tanglble ass•ts
Tangible assets are inrtially recorded al cost, and subsequentty ststed at cost less any
accumulated depfecialbon.
Doprnclation
Depreciation is calculated so as to write off the cost or valuab.on of an asset. less its residual
value, over the useful economK lrfe of that asset a$ follows..
Land
ECO Building
Equipment
2% Stra￿h1 line
50A slraighl line
20% reducing balance

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
Notes to tho Financial Statemants f¢ontlnu8dJ
Year ended 31 January 2025
Accountlng policies (conllnu8dJ
Government grants
Government grants are reccgnised at the fair value of the assel receNed or receivable. Grants
are not recognised until there is reasonable assurance that the charity will comply with the
Condthons attaching to them and the grants will be received.
Imere the grant not impjse specified future performance-related ¢ondttions on the
recipient, it is recognised in Ir￿Qme when the grant proceeds are received or receivable. lthere
the grant does impose SP￿lfied fvture performance-related conditions on the recipient, rt is
recognised in income only when the performance-related conditions have been met. Where
grants receNed are prior to satisfying the revenue recognition criteria, they are recognised as
Llmlted by guarantee
Mullaghmore and CasUevi8w Communtty Association is a company limited by guarantee and
accordingw does not have a share capital.
Donations and lega¢i08
Unrestricted
Funds
Restricted Total Funds
Funds
2025
Donations
Donations
6,435
6,435
Grants
Western Hea]th and Social Care Trust
British scien￿ Association
Department for Communities grant
Northern Ireland housing executNe
Council grant
National Lottery grant
4,750
4,750
926
791
12.172
18.639
926
791
12,172
6.435
25,074
Unrestricted
Funds
Restricted Total Funds
Fund8
2024
Donations
Donations
7,669
7,669
10

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
Notes to the Financial Statements (corttthu
Year ended 31 January 2025
Donatlon8 and legacle8 (confinu8dJ
Unrestricted
Funds
Restricted Total Funds
Funds
2024
Grants
Westem Hea￿ and s￿la1 Care Trust
British scien￿ Association
Department for Communities grant
Northern Ireland housing executive
Council grant
National Lottery grant
2.325
500
1.345
4,735
1.512
48.687
2.325
500
1,345
4,735
1,512
48,687
66,773
7,669
59.104
Charitable activities
Unrestricted Total Funds Unrestricted Total Funds
Funds
2025
Funds
2024
Rentsl Income
17,201
17,201
11,624
11,624
Expenditure on charltable actlvltios by actlvlty typo
ActNTb"es
undertaken
directty SupF<Jrt costs
Total funds
2025
Total fund
2024
Charitable activities
Govemance costs
66,123
66,123
1,526
67,649
66.576
1,351
67,927
1,526
66,123
1,526
Net1oxpenditureVlncome
Net lexpenditure)lincome is ststed after chargingllcrediting)..
202S
2024
Depreciation of tangible fixed assets
20.604
20,998
Truslee remuneratson and expenses
No remuneration or other b&nefrts from employment with the charity or a related entity were
eived by the trustees.
11

Mullaghmore and Castleview Community Association
Company Llmlted by Guarantee
Notes to the Financial Statsments (c￿th￿dJ
Year ended 31 January 2025
10. Tanglblo fixod assets
Freehold
proF¢ty
Plant and
machinery Equipment
Total
At 1 Febnjary 2￿24
Addrtions
492,404
198.031
42,406
483
732,841
483
At 31 January 2025
Depreciation
At 1 February 2024
Charge for the year
At 31 January 2025
Carrying amount
At 31 January 2025
At 31 January 2024
492.404
198.031
42,889
733,324
192,719
9,9)2
202,621
104,YJ9
8,648
32,620
2,054
34.674
329,938
20,604
113,247
350,542
289.783
84,784
93.432
8.215
382,782
402.903
299,685
9,786
11. Debtor8
2025
2024
Trade debtors
1,485
2,268
12. Crodltors: amounts falling due wfthln one year
2025
2024
Trade creditors
Social security and other taxes
3,119
2,974
7,334
3,233
6,093
10,567
13. Credltors.. amounts falllng due after more than ong year
2024
AccruaL8 and deferred inco
315,483
336,840
1& Govèrnment grantg
The amunts reccgnised in the financial staternents for govemment grants are as follow5.'
2024
Recognised in creditors:
Deferred govemment grants due after more than orte year
315,483
336,840
12

Mullaghmore and Castleview Community Association
Company Limitsd by Guarantee
Notos to the Financial Statements (contsnued)
Year ended 31 January 2025
15. Analysis of ¢harltable funds
Unre8trictsd funds
At
1 February 20
24
At
31 January 2
026
Income Expendtture
General funds
57,481
23,636
(22.187}
58,930
At
1 February 20
23
At
11 January 20
24
Income Expenditure
General funds
54,065
19,293
{15,8771
57,481
Reslrict8d funds
At
1 February 20
24
At
31 January 2
025
Income Expenditure
Re51ri¢ted Funds
33,166
18.639
(45,4621
6.343
At
1 February 20
23
At
31 January 20
24
Income Expenditure
Restricted Funds
26,111
59.104
(52,049)
33,166
13

Mullaghmore and Castleview Communlty Association
Company Limited by Guarantee
Managam•nt Infonnatlon
Year ended 31 January 2026
The followlng p•geo do not forni part of th• flnandal statsments.
14

Mullaghmore and Castleview Communlty Association
Company Limitsd by Guarantse
Detalled Statement of Financial Activities
Yaar ended 31 January 2025
2025
2024
Income and endowments
Donatlons and legacies
Donations
Weslem Health and Social Car8 Trust
British Science AsscKjat￿n
Department lor Communities grant
Northem Ireland housing executive
Council grant
National Lottery grant
6.435
4,750
7,669
2,325
500
1,345
4,735
1,512
48,687
926
791
12,172
25,074
66.773
ChaTitablo aclivltl85
Rental Income
17,201
11,624
Total incomo
42,275
78,397
Expenditure
Expenditure on charitable activlues
Wages and salaries
Other poSt-reti￿rnenl beneffts
Rates and water
Light and heat
Repairs and maintenance
Insurance
other establishment
Legal and professional fees
Telephone
Am0rtisation
Depreciation
other interest payable and simikgr charges
DetailedSOFAExpenditureOnCharTtableAcbvitsesTyF*2H
DetailedSOFAExpenditureOnCharttableAcbvitsesTyFe4H
12.836
100
1.565
6,803
2,321
3,407
5.055
1,584
1.535
121,3571
20,604
229
1.973
30.994
27,425
2,738
1,426
9.736
1.503
1.578
1.559
1,416
1,415
121.3571
20.998
125
391
18,974
67,649
67,927
Total expenditilre
67,649
67,927
Net lexpendltureyincome
(25,3741
10,470
16

Mullaghmore and Castleview Community Association
Company Limited by Guarantee
Notss to the Detailed Statement of Financial Aclivities
Year ended 31 January 2025
2025
2024
Expendlture on charltable activitle5
Charltable actlvltles
Activities undertaken dlrecty
Co-ordinator wages
Reimbursff*nt of CO•ordinator expenses
Rates and water
Light and heat
12,836
100
1,565
6,803
27,425
2,738
1,428
9,736
É 11
Repairs and rrraintenance
Insurance
Hall refurbishment
Legal and professional fees
Telephone and intemet
Amorlisation of govemment grant
Depreciation
Bank Qharges
Sundry expense5
Children and Health programrrEs
2,321
3.407
5,055
1,503
1,578
1,559
1,535
{21.3571
20.604
229
1.973
30.994
1,415
(21.357)
20,998
125
391
18,974
86,123
66,576
Governance c08ts
Accountancy fees
1,526
1,351
Expendlture on eharitable activitles
67,649
67,927
16