REGISTERED CHARITY IYUMBEIL. 1104212
HARITY
IN,qMISSION
PORT
THE
AUD
ED
NC
TAT
ENT
DED3
ECE
ER
FOR
FOR
REN'S
RUST
FI CRT Limited
Flat 24 Wellingtonia Covrt
Laine C105e
Brigbton
East Su55ex
BN16TD

FORCES CII1LDRE￿s TRUST
Co￿[ENTs OF THE FINANCtAL STATEMENTS
FOR THE YEAR ENDKD 31 DECEMBER 2024
Pag¢
'Report of the Tnistee5
I to 3
Illdepend¢￿t Examlner'$ Report
Statsmenl of FIDaneAal Actfivi¢i¢s
Balance She¢t
Noteg to tbe FlnaDclal S¢a¢emeDts
7 to 13

FORCES CHTtJ)REWS TRUST
REPORT OF THE TRusfEES
FOR THE YEAR ENDED 31 DECEMBER 2024
The trustses present Ih¢ir report with the fi￿a￿tal Statem￿ of the charity for the year elld￿ 31 Decanber 2024. The
trllstees have adopted the PTOViSiODS of Accouoting and Reporting by Chariti&%." Siatement of Reconunended Practice
applicable to charities prepariDg thetr accounts in 8C£OTthce with tbe Financi￿ Reporting Standard applicable in the
UK and Republic of Ireland (FRS 102) (effective l January 2019).
OBJECTIVES AND ACTlVtTIES
Objectives and aims
Tbe Cknty is devoled to wo￿lDg together to help children in need whose father or ￿￿ther I￿ did or has sustained
life ¢han<Ting iDjWi&& whilst a s¢rviDg meJnb¢r of the Arn)ed FO￿¢$ 8nd su¢h Oth￿ oc¢upation$ as d¢termin¢d from
tim¢ to time by the tniste¢s.
The FO￿e8 Children's Trust is a sm8lL agile cbarity prOVidn￿ support and posilive expe¥iences to cbild￿n who b8vc
suffered a 8reat loss. By participating in events like theatre trips and holidays with other ¢hildren ill a Similar situation
they can create th¢ir owm way of moving forward.
Publlc benefrt
The Trustees ¢oftfm that they have referred to lkne guidallce contained in the Charity Com]nissiots's general guidance oll
public benoftt when reviewing the Charitys aitms and objectives and in the planDing of fihure activities.
Grxntmaklng
When all applicatlOD for f￿ancial assisiance is 0￿de by or on behalf of an individual who falls within th¢ Trust's remit,
the Trust will only consider such aD application in the context of its genernl principal of nol awarding direct assi8tanr¢
by way of ¢osh granis.
The Trust will fuBt give consideration to tbe feasibiliry of providing such assistance in kind by funding the use of a
re¢o8TLised 3rd party or Or￿1]sailOn. Where such an application is made to m¢et a debt acquired by or on behalf of tho
appli¢8nt such debt will be paid by the Tn￿ to the creditorfs) onc¢ 1he Trnst 1$ assured of the validity and leg￿lty of
sych ind¢btedness.
The Ttust ￿s0 wovides funding for research prorn Ènd collaiK)raies with other military char1tieslestthliybm￿ts
who have objects sitni18r to their ow
AClItEVEMENT AIYD PERFORMANCE
Ch8ritable Y4Ctlvltles
Durillg 2024 tWCDty-four childrcD attended the FCT Outward Bound course in the l•ke District. Fifteen YoW￿5t￿rg had
the experience of sailing on a tsu ship duriog the summer. Four fwnilies enjoyed 8 holiday in Spain at out tithesbare
8partrnctts. The aDDual Xmas Party took place this year, the fatnilies arrived in the morning and a buffet Iullch was
provided before they went skiing and snowlx)arding in the afternoon. The families enjoyed this very and we
received very positive feedback from all, particularly &s many had nevff had the opportunity to ski or snowboard before.
We returned to the hotel and in the evenin8 they all enjoyed ￿ ex¢ell¢Dt meal aloDg with 2 entertainers and a di$¢o,
We contimRd to ¢ontribute towards tbe cos¢ of extra4urriou18r l¢ssolls for those children who Deeded them.
As part of our initiative to coll8bor8te with other areas of the tnilitary. we donated £IO.OOQ.00 to help facilitate an
adventure week for Cbildren wbo are b&sed at RAF Brize Norton.
FINANCIAL REVtEW
Finalleial poslllon
The ¢barity incurred a loss during the year of £33,965 before vnrealised investment gains. This Iw been de4uctsd from
the unr¢8Jised gain ots investments of £8l,943 to give an overall surplus for the year of £47,978.
After adding this to the r¢serv¢s brou8bt forward of £1,299,589 the Te5erves b) be wried for¥vard are £1,347,567.
Page I

FORCES CHILDRENS TRU
REPORT OF THE TRUSTEFS
FOR THE YEAR ENDED 31 DECEMBER 2024
FINANCIAL REVIEW
Reserves poliry
The policy is lo dislnl>ute the income generdted by the invest[D￿ts wbi]st keepiDg the capital intact. Should the need
arise howeverthen the charity would use the capital.
Thc governing docu￿ent ststes that in the event of Ib&qolution of the chJity 1he TMini￿ reserves must be given to
anotber charity (or otber clthrities) with objects d￿t are no wider th8n the charitys OW￿ for the genernl pU￿oSe8 of th¢
recipient charity (or ¢l)arities): or ro ally charity for use for particular purposes which fall within th¢ cl]arity's objects.
FirruRE PLANS
We have secuY¢d anoth¢r week in Augus¢ at the Outward Bound Howiown Centre in the Lake Distri¢L
Holidays foT some families in Spai
Possibly anoth¢r sailing Trip.
We are fuDding a r¢search programme with Northumbria University (Newcastle) this res¢arcb is over an 18-month
p¢riod.
W# are collaborating with other miliiary cbarities who have objects similar to our OW￿ ie., offering place$ at out events
and working togeth￿ for the bettern)ent of the end user.
AS chlldr¢n's and young people's problems with mental health including ADHD aDd Autism is prevalent, w¢ are looking
into ways wber¢ we can assist with the eosts of a private di&gDoses and treatsneDts as the NHS wating ligts are
oversubscribed.
We are contilluing to id¢Dtify other are&8 where the FCT can help that fall within our cumÉ remit and to Possibly
extend the charilies objects to enable the FCT to use our fimds wheTe it is lleedcd mosL
STRUCTUR[ GOVERNANCE AND MANAGEMENT
GoverThlllg documellt
'rhe Charity w&% establis1￿1 UDder a Trust Deed datsd I l May 2004 as an)ended by resolutiODS dated I l July 2007 md
27 April 2020.
Recrultment appointm¢nt of neiv trustees
'rrustees are appointed by the cxisting Trustees and are selected by pcThon81 TQCO]Dmdatio
Organlsatlonal strnrture
The Trustees meet and are in wita¢t wÉth each other on a regular basis to dlscuss th¢ atfair5 of the cl￿rity.
REFÉRENCE AND ADMINISTRATIVE DETAll
Registered Cbarlty number
1104212
Prlllcipal address
6) Shawley Way
Epsom
KT18 5PD
Trustee$
D Wise
Miss A L Hayes
Mr$ C J Parry
Dr D Dymond
J J Webb (appoint¢d 31.724)
Page 2

FORCES CFtIlJ)REWS TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2024
REFERENCE AIYD ADMtNISTRATIVE DETAIts
Independent Eiathiller
Christopber Rolxrt Tyl￿ FCA DCbA FCIE
FI CRT Limited
Flat 24 Wellingtonia Court
Laine Close
Brigbton
East Sussex
BNI 6TD
Chief Executive Officer
D Wise
Bankers
Santandei. UK PLC
Bridle Road
Bootle
Merseyside
L30 4GB
STATEMENT OF TRUSTEES, RESPONSIBILITIES
The trustees are responsible for preparing the Rewrt of the Trustees and the fJnan¢ial swements ID a¢cordance with
applicable law and United Kingdom Accoun¢ing StWMlards (Unitthl Kingdom Generally Accepted A¢￿U￿tIng Prnctice).
The law applicable to charities in England and Wale& the CILariliey Act 2011: Charity (Accounts and Reports)
Regulations 2008 and the provisions of the trust deed requires the trustees to prepare financial statements for each
fiJ)ancial year whicb give a true and fair v&ew of the state of affairs of the charity aDd of tbe i]Korning Tesources and
applicatioll of reSOu￿e￿ Including the incotDe and expenditure. of the dwity for periLNJ. In Preparing those
firtancial slatell￿7￿ the lrnste¢s are required to
8elect suitable accounting policics and then appty them consisth11y;
observe the methods and principles in the Charity SORP:
rnake judgetnents and esLin)ates that are reasonable and prudcnt,
prepare the fU￿ncIal State￿entS on the going concern basis unless il is inappropriate to preSUn￿ that the charity will
continue in busiDe&s.
The trustees are respOnsi￿le for kn*ping proper accounting records which disclose with reasonable accurncy At any time
tbe financial position of the charity 8nd to enable them to eLsure that the r]nancial statements comply with tbg Ch&ritieg
Act 201 I, the Charity (Accounts and Reports) Regulations 2(X)8 8nd the provisions of the tr￿st decd. They are also
Tesponsible for safeguarding the &ssets of the Ch￿lty and heDC¢ for taking reasonable steps for the pr¢vention and
detertion of fraud and other irregularities.
Approved by ord¢r of the board of trustees oll.....
4.>.%.......... 8nd S￿ed on its b¢halfby.
D Wise,- Tru8te¢
Page 3

JNDEPENDEKf EXA1￿l￿ER's REPORT TO THE TRUSTEES OF
FORCES CHILDRENIS TRUST
Independent examin&s report to the of Forces Childrem's Th￿t
I report to the charity trust￿% on my examithon of the accounts of Forces Children's Tn]st (the Trust) for the year
ended 31 December 2024.
Responsibilities and basis of report
As the charity trustees of the TThst you afe responsil)le for tbe PTepaT8tion of the accowts in accordance ￿ryth the
requirements of the Charities Act 2011 Cthe Acfj.
I report in r¢sp¢ct ofjny examinatson of Truses acc4)unts carried out Section 145 of the Act and carying out
my examination I hav¢ fojlowed all applicabl¢ Directions given by the Charity Commission und¢¥ kntion l45(5)(b) of
the Act.
Independent examknerfs 5tst¢niellt
I have ¢ompJded rny examinatio￿ l ¢onfwm that no material mattoTS bave come to my attsntI￿ in COW￿ctE0￿ with the
exarnination giving me ¢ause to believ¢ that in any material TW:
ac¢ouDting records were not keo io rwt of the Tn￿t as Twired by Section 130 of the Ac¢ or
the a¢¢ounts do not ￿COrd with those record5: or
the accounts do not comply with the applicable requirenwits concerninui the fotTh and ¢onteDt of a¢Munts set out
in the Cbarities (Accounts and Reports) Regulalions ?Crt)8 other than any requirement that tbe a¢¢ounts give a
tnie atsd fair view whicb is not a matter Considered a5 part of an independent examination.
I have no con¢erns and have come across no other matter5 in CODnection witb the exam1t￿tiOn to which attention Bhould
be drawn ill this rew)rt ID order to oth1¢ a proper understanding of the accounts to be reacb
Cbristoph¢r Robert Iylcr FCA DChA FCIE
FI CRT Limited
Flat 24 Wellingtonia Court
Laine Close
Brighton
East Sussex
BNI 6TD
Dat¢: ....
Page 4

FORCES CHILDREWS TRUST
STATEMENT OF FINANCIAL AcrivrrIES
FOR THE YEAR ENDED 31 DECEMBER 2024
2024
2023
Total
fi]nds
INCOME AND LYDOWMKNI3 FROM
Dolltitions and legacies
13.462
23,007
Investment income
Oth¢r income
49.092
5.165
48,189
3,476
Total
67.7l9
74,672
EXPEIYDITURE ON
Raising ￿ndS
505
650
Charltable aetlvitks
Beneficiary expenses
Support costs
99,8J I
1,368
84,482
1,368
Totsl
101,684
86,500
Net 8aillS on investsnents
81.943
11,469
NET INCOMEI(EXPENDITURE)
474978
(359)
RECONCILIATION OF FUNDS
Total I￿]dS brou8bt forward
1,299.589
1.299.948
TOTAL FUNDS CARRIED FORWARD
1,347,567
1,299,589
The notes fonn part of these financi￿ ststements
Page S

FORCES CHtLDREWS TRUST
BALANCE SHEET
31 DECEMBER 21124
2024
2023
Total
Not&s
FIXED ASSETS
Tangible asscts
Tnvestments
l2
l3
649
1,179,514
1261.457
1261.944
1,180,163
CURREP4T ASSETS
Stocks
D¢btors
Cash at bank and ID haDd
14
15
5,910
1,579
79.607
5,410
1,512
113,977
87,096
120,899
CREDITORS
Amounts falling due within one y¢ar
16
(1,473)
(1,473)
NET CURRENT ASSETS
85,623
119,426
TOTAL ASSETS LESS CURRENT
L￿SL￿lEs
1347,567
1,299,589
NET ASSETS
,347,567
1,299,589
FUNDS
Unrestricted funds
17
,347,567
1,299,589
TOTAL FUNDS
1,347.567
1,299,589
The financial statemeDts were approved by the Board of TTUStees and authorised for issue op
and were signed on its behalf by:
D Wise - Truste¢
The no￿ fornl of thes¢ fmancial staieme
Pag¢ 6

FORCES CHELDREWS TRUST
NOTES TO THE FINANCIAL STATETrtEwrs
FOR THE YEAR ENDED 31 DECEMBER 21124
ACCOUKflNG POIICIES
Basis of pr¢p￿ing the statemthts
The fmancial statell￿8 of Ébe clwitable company, is a public benefit ertity utKieT FRS102, bavt been
prepared in accordahce with the Charities SORP (FRS102) 'Accouthg aDd RqxKling by Clwities: Statement of
Recommended Praaice appli¢able to charities preparing their a¢¢ow)ts with the Financial Reporting Standard
applicable in the UK aod Republic of IreIand ￿102) (efftttive l jan7￿ 2019),, Financial Reporting
Standard FRS102 'The Financial Reporting Standard applicable in the UK ond liepublic of Ireland, and the
Companies Acl 2￿6. Th¢ financial slatements have been pr¢par¢d UDder th¢ bisiorical cost convention.
The are prepared in stu11￿ whicb is the fi￿CtIonal curyency of the tharity. Mon¢tary an￿Unts in these
linaDciaJ statsmenls ar¢ rouDded to the neatest £.
Tbe trUste￿direCtOry consider there are no material UDrAtiinti&8 about the Company's ability to cimtinue as
a going concern.
In¢om¢
All income is recognised in tbe Statement of Financia] Activities orA¢e the ch￿lty has entitlement to the fimds, it
is probable that tbe inwme WAII be received and the amount Can be rneaSu￿ reliably.
Expenditur¢
Liabilities ttcognised as ex￿dit￿re as soon as there ts a legal or ¢onstnKtive obligation rmllnitting the
Charity io that expenditure, it is probabl¢ tbat a transfer of economic benefits will b¢ required irt settlenmrt and
tbe amount of the obligation ¢an be measured reliably. Expenditisre is ac¢ounÉed for on aD accruals basis and ha5
been ¢lassifi¢d uDd¢r beadings that aB8regate all cost related to the category. Where costs cannol b¢ dtrectly
attributed 10 p•ticular beadings they have been allocated to activities on a basis consistent with th¢ use of
resources.
Tanglble Ilxed assets
DepreciaLion is provided at the following amwal rA￿ in 0￿eT lo write off ea¢h asget over btg estimated us¢￿1
life.
Fixtures and fitttogs- 250/0 Ort reduciog balance
Stoe
Stocks are valued at the lower of cost and nct reali58blc value. Bftcr makin8 due allowance ftlr obsolote aod 8low
moving items.
Tax8tlon
The charity is ¢onsidered to pass th¢ t&sts set out in P8ragr8ph I Schedule 6 FIn8n￿ Act 2010 and therefore it
mects th¢ definition of a charitable company for UK Corpordtton Tax purpos¢s. Accordingly the ch8rity IS
potentialty ¢xempt from thxation in respecl of tncome or c8Pital gaitis re￿iVed within categories covered by
Chaptcr 3 Part I I Corporation Tax Art 2010 or Section 256 of the Ch8rbieable Gains A¢t 1992, to the extent that
su¢h inrorne or gains arc applied exclwively to ch￿itable purw)ses.
Fund ac¢ouDting
Unrestricted funds can be u3ed in acthance with tb¢ cbaritable objective5 at the di￿retion of th¢ trustees.
Restri¢t¢d fuDds caD only be used for particular restricted purp)ses withio th¢ objects of th¢ charity. R¢strictxons
arise when specified by the donor or when fullds are raised for p&rti¢ular restricted pury)os¢s.
Further explan*iOD of the natute and pwe of each fund is included in the ooteg lo the finan¢ial statements.
continued,..

FORCES CHItJ)REN'S TRUST
NOTES TO THE FINANCLIL STATEMEKfs - {￿ntinUed
FOR THE YEAR ENDED 31 DECEMBER 21124
DOIYATTONS AND IICACIES
2024
2023
Donalions
13,462
23,007
INVESTMEIYT INCOME
2024
2023
Unit tmst income
Deposil awount int¢re5t
48,289
803
47,344
845
49.092
48,189
OTHER ￿CoME
2024
2023
Online fiIiDg incentive
5,165
3,476
RAISING FUNDS
Raising donatlons and legatles
2024
2023
Web donation charges
Advertising & protnotion
216
289
216
434
505
650
CHARITABLE ACTIVITIES COSTS
sUp￿)rt
costs (see
note 8)
Costs (see
note 7)
Totals
Beneficiary eJ(peD5es
Supw)rt costs
99.811
99,811
1,368
lJ68
99,811
1.368
101,179
Page 8
continued...

FORCES CHILDREIWS TRUST
NOTES TO THE FINANCIAL STATEMEIYIS- continued
FOR THE YEAR ENDED 31 DECEMBER 2024
2024
2023
Evenls for beneficlarieg
Staff costs
Office expenses
Pretnises expenses
Insurance
Profession￿ fees
D¢pr¢Gialion
39J87
56.189
1.686
940
1.149
298
162
24,745
56.304
754
1,154
1,059
250
216
99,811
84,482
SUPPORT COSTS
Governance
costs
Support costs
1,368
Support Costs, In¢luded in th¢ above. are as follows:
2024
Support
costs
2023
Toial
activitles
Jnd¢pendent examADation
1.368
1,368
TRUSTEES, REMUNERATION AND BEY4EFITS
The Cbief Execuliv4 D Wis< rec¢ivcd a salary of £46,OQMJ (2023:£46,0(Kl} and £5,096 (2023: £5.096) to his
wife, Mrs T Wis4 during the year 18 perrnitted by the Trust Dec￿ No rcmuneratiOD w&s paid W any oth¢r
Tn]slee.
Trnstees. expell
There were no tnLStees' ex￿lse8 paid for the yvar ended 31 Dmnber 2024 nor for the year endèd
31 December 2023.
Jo.
STAFF cO￿s
Siaff ￿sts duriDg the year were as foll0v￿.
2024
2023
51,096
5,208
Gross Salaries
So¢ial Security Costs
Flo employ¢e [C￿1Ved remuneration in excess of £60,CQO (2023:NorJe).
51,096
5,093
These costs were in respect of l ￿17 tiEne and i part time perso
The charity considers its key personnel to be the trustees. Deiails of the benefits paid to them Ire
disclosed in note 9.
Page 9
continu¢d...

FORCES CIULDREIVS TRusr
NOTES TO THE FINANCIAL STATEIKEN13 . continuLYI
FOR THE YEAR EIYDED 31 DECEMBER 2024
ii.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfIviTIES
UnrestrActed
funds
INCOME AND ENDOWMENTS FROM
Donations and l¢gaci
23,007
Investment incoJne
Other incom¢
48,189
3,476
Total
74,672
EXPENDITURE ON
Raising ￿ndS
650
Charitgbl¢ activltles
Beneficiary expeDses
Support costs
84,482
1,368
Total
86,500
Net on invesiments
11,469
NET INCOMEI(EXPENDITURE)
(359)
RECOlYCtLIATION OF FULYDS
Total funds brousbt forw8rd
1,299.948
TOTAL FUNDS CARRIED FORWARD
1,299,589
12.
TANGIBLE FIXED ASSEIS
Fixture5
fitting5
COST
At l January 2024 and 31 Deceather 2024
3,847
DEPRECIATION
At l January 2024
Cknrye for year
3,198
162
Al 31 D¢￿rnber 2024
3,360
NET BOOK VALUE
At 31 December 2024
487
At 31 December 2023
649
Page 10
continued...

FORCKS CIItLDREWS TRUST
NOTES TO THE FINANCIAL STATETrfENTS - continue
FOR THE YEAR ENDED 31 DECEMBER 2024
13.
The Cbarityhas the following investsnats .
Unquoted
Th¢ Charity owns th¢ cntir¢ call¢d up share wital of £1 in Fcf Trading LAmitr& a LM)n4wy in¢oryorated in
EDgland and Wales.
FCT TTh1illg Limitsd was dorn￿￿ throughout the year ulldeT miew aod has no assets.
Quoted
Th¢ Charity acquired 1,045281.78 ￿lts in Scbroders The Charity Mulli.Assei Fund A Distribution during 2015
d a further 150.027.62 ullits dwing 2018, aDd 244J37.508 units in BlackRo¢k 'Amied FO￿¢S Conunon
Inveslment Fund Income. in 2017.
The movem¢ni during the year w&s as follows .
2024
2023
Balance brought forward
Addition$
Revaluation
Balance carried foNard
,179,514
I,327,232
179
1.4. sfocKS
2024
2023
Slocks
5.910
5,410
15.
DEBTORS: AMOUNT3 FALLING DUE WITHIN ONE YEAR
2024
2023
Other debtors
,579
1,512
ifj.
CREDITORS: AMOIJNTS FALLING DUE W￿H[N ONE YEAR
2024
2023
Other ￿edItOrs
1,473
1,473
Pag¢ 11
¢ontinued...

FORCES CHILDREPI'S TRUST
NOTES TO THE FtNANCIAL STATEMEiYfs . continued
FOR THE YEAR EM>ED 31 DECEMBER 2024
17. MOVEMENf IN FUNDS
Net
m0ven￿DI
in fimds
At
31.12.24
At 1.124
Unrestricled fuuds
General fimd
Designaled Fund. EdU￿tio￿ Fund
1,165212
134,377
48292
{314)
1,213,504
134.063
1299589
47,978
1,347,567
TOTAL FUNDS
1.299.589
47.978
1,347,567
N¢t movem¢nt ik] funds illcluded ill th¢ above are as follows:
Tncoming
Gains and
losses
Movement
In ￿￿&5
expended
Unrestrleted funds
Genernl fund
Desigftated FuDd- EducaiioDal Fund
67,719
(101,370)
(314)
81,943
48,292
(314)
67,719
(101,684)
81,943
47,97B
TOTAL FUNDS
67,719
(101,684)
81,943
47,978
Comparatlves for movement In funds
Net
movement
in fiJnd$
At 1.1.23
31.12.23
Unrestrlcted funds
General fund
Designated FuDd- Educ8tiooal Fund
1.164,610
J35.338
602
(96l)
1,165,212
134.377
1299.948
(359)
1.299.589
T(yfAL FUIYDS
1299.948
(359)
1,299,589
Comparative net movetnent in fuftd￿ includ¢d in the above are as follows:
IDcorning
R¢sourw Gains and Movement
resources
expended
losses
In f[￿d9
Unrestrlcted funds
G¢neral fund
Designai¢d Fund - Educational F￿a
74,672
(85,539)
(961)
11,469
602
(961)
74,672
{86,5(J))
11,469
(359)
TOTAL FUNDS
74.672
(86S(A))
11,469
(359)
Page 12
¢ontinued...

FORCES CHIIJ)REIYS TRusr
NOTES TO THE FINANCIAL STATEIIIENTS . continued
FOR THE YEAR ENDED 31 DECEMBER 2024
18.
RELATED PARTY DISCLOSURES
There were no related paty Irdnsactions tor the year ended 31 December 2024 (rth￿ than those noted elsewhere
in the accoutts.
Page J3