## **UNITED KINGDOM ARMED FORCES WINTER SPORTS ASSOCIATION (UKAFWSA) REPORT OF THE TRUSTEES FOR THE YEAR ENDED 30 SEPTEMBER 2025** 

## **INTRODUCTION** 

1. The CSWSA was formed in 1950 to provide a focus for the various disciplines of winter sports in the Services.  It was retitled UKAFWSA in Dec 16.  Its Registered Charity Number is 1138305 and Company No 07033277.  The Registered address is UKAFWSA, c/o MOD ASCB, MacKenzie Building, Fox Lines, Queens Avenue, Aldershot, Hants, GU11 2LB. 

## **MISSION** 

2. The UKAFWSA’s mission is to provide an organisation for the pursuit of winter sports excellence at Inter Services level, which represents the pinnacle of winter sports achievement in the Services, thereby furthering the provision of access to winter sports at competitive and all other levels to HM Forces personnel. 

## **OBJECTIVES** 

3. The objectives of the Association are to: 

   - a. Provide governance of winter sports in the Services and where possible ensure a consistent approach to winter sports within each discipline across all 3 Services. 

b. Procure funding through sponsorship, non-public and public (where appropriate approval exists) funds and to ensure the fair and equitable allocation of these funds to individual winter sports disciplines. 

c. Provide formally-structured committees within which each discipline’s interests are fully represented. 

d. Provide an overarching organisational framework and environment within which winter athletes can compete at the highest level within the Services. 

e. Promote the interests of HM Forces through UK Armed Forces (UKAF) sport consistent with current Defence Corporate Communications policy. 

- f. Encourage the support of national sports. 

## **ORGANISATION** 

4. Managing Trustees.   The UKAFWSA comprised 5 Trustees as follows: 

   - a. RAdm R Harris RN Chair UKAFWSA b. Capt T Davey RN Chair RNWSA c. Maj Gen J Fossey Chair AWSA d. Air Cdre M Cunningham RAF Chair RAFWSF e. Brig R Haldenby Trustee 

UKAFWSA Trustees Report 24/25 – 1 



## 5. Sub-Committees.  Sub-committees of the UKAFWSA exist for each discipline as follows: 

- a. Alpine. 

- b. Ice Sports – Bobsleigh, Luge and Skeleton. 

- c. Cresta. 

- d. Nordic – Cross Country and Biathlon. 

- e. Snowboard. 

- f. Telemark. 

## **COMMITTEE STRUCTURE AND CONDUCT OF BUSINESS** 

7. Trustees. 

   - a. Terms of Reference. 

(1) To provide strategy and policy in furtherance of the aims and objectives of the Association. 

- (2) To consider and allocate funds to Association activities. 

(3) To approve nominations for Patron, President, Chair and Secretary/Operations Manager of the Association and Discipline Chairs. 

- b. Membership. 

(1) Chair.  The Chair, who is to be a serving senior officer with a strong interest in winter sports, will be nominated and approved by members of the UKAF Sports Board. He is responsible for the supervision of the Association’s finances and for the overall management of the Association’s business. 

(2) Chair of Single-Service Winter Sports Associations.  The Chair of the singleService Winter Sports Associations will be standing Trustees of the UKAFWSA. 

c. Frequency of Meetings.  The UKAFWSA Trustees shall meet in plenary session ideally at least two times a year, sometimes 3 or 4. 

e. Quorum.  A quorum will have been achieved when the Chair and at least two representatives from each single-Service Winter Sports Association is present.  Each Service will be entitled to one vote. 

f. Accountability.  The Council is accountable to the UKAFSB for the proper conduct of its business and national sport bodies for the correct application of their rules. 

UKAFWSA Trustees Report 24/25 – 2 



## **FINANCIAL POLICIES** 

8. General.  The Trustees are responsible for the financial health and good financial management of the UKAFWSA. 

9. Priorities for Expenditure.  The priority for the use of Charity funds for the 23/24 period, unchanged from previous years, is as follows: 

a. Funding Inter-Service (IS) competitions of Individual Military Training (Nordic) Category 2 (Alpine, Bobsleigh, Luge, Skeleton, Snowboard and Telemark and Cresta) winter sports at an appropriate standard and level of safety. 

b. Promoting the excellence, reputation, and prestige of the UKAFWSA as the governing body of UKAF Winter Sports. 

- c. Assisting with the defrayal of costs of athletes attending UKAF competitions. 

d. Assisting in the defrayal of costs of athletes representing the UKAF at other competitions (British Championships and against the Australian Defence Force. 

e. Maintaining a reserve to ensure subsequent years competitions can be conducted should income reduce. 

   - f. Supporting UKAF athletes at national competitions. 

   - g. Supporting UKAF athletes at international competitions. 

10. Expenditure.  The Trustees agreed the following: 

a. Events.  The four main Championships (Inter Service Snow Sports (ISSSC), IS Ice Sports, Cresta and Nordic Championships) were each provide funds to run the events in accordance with the direction provided by the Trustees. 

b. Protocol.  A maximum of 15% of the income could be spent on Protocol, which included VIP hosting at UKAF events (ISSSC, IS Ice Sports Championships, Nordic and Cresta), the 2025 Presidents Dinner (Jun 25) and the 2025 Cocktail Party (Oct 25). 

c. Grants.  The Charity made grants as determined by the Trustees, which complied with the objects of the Charity and the priorities for expenditure detailed in Paragraph 9 above. For the 24/25 Season the Trustees agreed the following grants: 

- (1) Single Service Grants.  These are set at £15K to each Service. 

- (2) Armed Forces Para Snowsports Team (AFPST).  Set at £3K. 

11. Income.  Income for the UKAFWSA was provided almost wholly from donations from various companies in the UK with only a small amount from bank interest and investment dividends. 

12. Financial Reserve.  The Charity will endeavour to hold a financial reserve sufficient to cover the minimum running costs of one-year’s UKAF Winter Sports events.  This reserve will be drawn 

UKAFWSA Trustees Report 24/25 – 3 



down only with the specific agreement of the Trustees.  A proportion of the Reserve, as determined from time to time by the Trustees, may be held in Investments.  At the 2023 Council Mtg the Trustees agreed to add a line to the budget for an annual payment of £10K to be placed into the Reserve; this was considered to be good financial management. 

13. Investments.  The Charity may invest for the purpose of medium-term growth (2 – 5 years) with a strong emphasis on securing capital, income is not a requirement. 

14. 24/25 Financial Overview.  The Chair reported that donations had risen steadily following a few turbulent years post COVID as we managed to secure a number of SME companies new to the organisation which bolstered our financial position in time for the season.  With the increase in income the Trustees were able to take the decision to enter teams into both the Alpine and Snowboard British Championships held in France.  Both resulted in various degrees of success, particularly in the Snowboard where the military competitors made up over a third of the entries and in the Alpine where the women’s team secure two podiums in the Super G.  These were the first medals won in over a decade.   The season closed with all disciplines completing a full programme of events in the best snow conditions experienced for many years.  The detailed Financial Statement is enclosed with this report.  At the season close the account realised a surplus **£48,203.** 

## **UKAFWSA EVENTS** 

15. In 2024/25 UKAF Winter Sports was able to complete a full season across all disciplines. With snow conditions varying from country to country and resort to resort, all disciplines had to remain flexible to programme changes with the safety of the competitors paramount in all decisions made.  Meribel saw some excellent snow conditions, the best in a number of years. Cresta once again saw good conditions on their ‘manmade’ track and the Ice Championships had to change venues late in the year as the Igls, track failed its inspection following some key track renovations.  A return to Lillehammer proved successful for the championships and financially beneficial saving the association funds.  These championships followed closely after the winter Olympics and therefore all military athletes competing at the Olympics were able to transfer across to compete for the their Services. 

16. While facing a backdrop of operations and busy periods at work once again affected some participation, the UKAFWSA managed to complete events with a high standard of competition. Despite such challenges for the snow sports all other events passed without issue and so it was pleasing to be able to report a full and successful season for the UKAFWSA across all disciplines Once again there were many closely fought competitions and congratulations must go to all the competitors, whose skill, determination, and frankly raw courage epitomises the values the UKAFWSA place so highly in our British Servicemen and Women and enables them to throw themselves down ice and snow with little more than a piece of wood, metal or fibreglass strapped on somewhere at frightening speeds.  At the end of a hard fought season the Army appeared to victors when counting the total number of trophies being competed for:  Army – 6, RAF – 5, RN – 3.  Finally, we must commend all members of our Hill Teams, Officials and Sponsors, for all that they do.  There drive and commitment ensures we are able to return year on year to deliver the events we witness on an annual basis. 

## **SUMMARY** 

UKAFWSA Trustees Report 24/25 – 4 



17. Another excellent season from a sporting perspective.  The UKAFWSA is in very good order. 

## SAJ Davis 

SAJ Davis Lt Col (Retd) Secretary for Chairman of the Trustees 

Jun 26 

Enclosure: 

1. Report of the Trustees and Unaudited Financial Statements for the Year Ended 30 Sep 26. 

UKAFWSA Trustees Report 24/25 – 5 



REGISTERED COMPANY NUMBER.. 07033277 IEngland and Wales)
REGISTERED CHARITY NUMBER.. 1138305
Report ofth• Trustees and
Unaudltèd FlnancSal Slat¢ments for tha Ygar Ended 30 S&plember 2025
for
Tho UK Armèd Forces Wlnt•r Sport8
A8soclatlon
Dlal Square AsscKlates Limlled
Char(èrÉd Accountants
9 Sl Georges Yard
Famham
Surrey
GU9 7LW

The UK Armed Forces Winter Sports
Assoclatlon
Contents of the Flnancial Statements
for thè Year Ended 30 Septgmber 2025
Page
Rgport of the Tru5ts9¥
Independent Examlnorf5 Roport
Stsiem¢nt of Flnanclal Activities
Balanco Sh88t
Cash Flow Statemant
Notes to the Cash Flow Stat&mont
Nots$ to the Flnan¢lal Slatem8nts
7 to 11
Data119d Statsment of Flnan¢lal Acllvltle8
12

The UK Amied Forces Wlntsr Sports
Association
Rèport of the Trustees
forthe Year Ended 30 Septembèr 2025
The Iru5tees who are also directors of the charity for the PUTposes Df the Companies Act 2006, present their report with
the financial statements of the charity for the year ended 30 September 2025. The trustees have adopted the provislons
of Accounting and Reporting by Charities.. Statement of Recommènded Practi¢e applic&ble to charitl@s preparing their
accounts In accordance with the Financial Reporting Standard applicable in the UK aThJ Repuilic of lfyland IFRS 1021
leffective l January 20191.
STRATEGIC REPORT
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govarnlng document
The charlty Is controlled by Its gov8inlng documenE,
guarantee. as definèd by the Companles Act 2006.
de8d of trust, and conslllut&g a limited company, limlled by
Rlsk management
The trusloes have a duly to idènllfy and review the rfsks to wNch tho charity is exp08ed and lo ensure appropriats
controls are in place lo provlde reasonable assurance ag8lnst fraud and error.
REFERENCE AND ADMINISTRATIVE DETAILS
Re9lSter8d Company numbor
07033277 (England and Wales)
Roglstered Charlty numb•r
1138305
Reglst•red offlco
Alexandra House
Sl Johns Str891
Salisbury
Wlllshlre
SPI 2SB
Tru$t&es
rfg8dier R Haldenby
Group Capl M L Cunnlngharn
Commodorg R HArrfs
T J D8v6y
J E Fossgy
Company Se¢rotary
Wll8on8 Icempany S8crelar)esl Llmlled
Independent Examlner
l R Fulcher FCA
Dlal Square Assoei8les Llmlled
Chertered Accountants
9 Sl Gèorges Yard
Famh8m
Surrey
Gug 7LW
Raport of the trustees, incorporating 8 strategic report, approved by or(ler of th¢ b08rd of trusteès, as the compaw
directors, on ......23rd.January.2azfj....... and 81wed on the board's behalf by..
Brf9a¢Jer R Haldert)y-Trusl
Page 1

Ind•pendent Examlnerfs Report to the Trustee$ of
Th• UK Arm8d Forces WEllter Sports
Associatlon
Independent &xamlner's report to the trustees of Tho UK Armed Forces Winter Sport$ Assoclatlon Ilhe
Company'l
I report lo the chariiy trustéès on my examln8tlon crf thtr accounts of the Company for the ye* anded
3fl September 2025.
Responsibilille8 and basls of report
As thè charitys Irustoe5 of the Company land also Its directors for (he purposes of company lawl you are responslblè for
the preparation ol Ihe aGcount8 in accordance wllh requirements of the Companies Act 20061'the 2006 Act'i.
Having sali$fl8d myself that the accounts of the Company are not requlred to be audltod under Part 16 of the 2006 knt
and are ellgible for Indepondent examln81ion, I report in ￿SpeCt of my exarnlnation of your charity* accounts as carried
out under Saellon 145 of tho Charities Act 2011 Ilhe 2011 Act'l. In carrying out my exarninalion I have followed the
Directions oiven by the Chariiy Commission under Section 145151 Ibl of the 201 f Act.
Ind•pèndent oxaminerb 8tstemont
Sln¢e your charity's gros5 Income exceeded P250,0(KJ YOLW examiner must be a member ol a li51ed body. l Can tonfimi
that l am quallfied to undertake the exarninalion bécause l am a MeTh￿er tsf th¢ Inslilule of Chartered Accountants In
England and Wales, whlch Is one of the Ilst8d tKdies.
I have completed rlly examin8llon. I conflmi that no mBttèr8 have ￿me lo my altgnlion lft ¢onnecllon with Ihe
examlnat]on giving mè cause lo beligve:
accounting recor(Is were not kept In respect of the Company as requlred by Sectlon 386 of the 20[￿ Act., or
the accounts do not accord with those records,. or
the accounts do not ¢omply wllh the accountln9 rewlremenls of Section 396 of the 2006 Act olhBr than any
requlremenl that th8 accounts glve 8 true and fair vlew whlch Is not a rnattor consldered 89 Part of an
indepèndent examlnallon., or
the accoun18 have not be8n prepared In accordance wlth the rnethodg and prlnclples of the Slatem8nl of
Recommended Practice for accounllng 8nd reporllng by d)adtle$ 18pplicable lo charilles preparing thelr
accounts In accordanc8 wllh the Flnancial Reportlng Standard appllcablo In Ihe UK Republlc of Irtrland IFRS
10211.
I have no concerns and have come across no olhor matlor8 In connoc1￿m wilh the examlnallon lo ¥sthlch 8ttentlon Should
bè drawn In Ihls reput in orderlo anab18 0 propèr undorslandlng of the accounts to be reached.
J4J
l R Ful¢her FCA
Dlal Square AssDciates Llmlted
Chartered Acctsuntants
9 St Georges Yard
Farnham
Surrey
GU97LW
Page 2

The UK Amied Forees Winter Sports
Association
statement of Financlal Actlvltles
for the Year Ended 30 Spptember 2D25
30.9.25
unrestr￿ted
fund
30.9.24
Total
fijnds
Nolos
INCOME AND ENDOWMENTS FROM
Donatitsns and legaci9S
574,867
571,585
Otherlradlng activli
Investment Income
Other incom&
5.135
4.125
91
6.769
3,561
103
Total
584,218
582.018
EXPENDITURE ON
Charltablo a¢tlvities
Honorarlums
Offlcers &xp8nses
M8elin9 expenses
General expenses
Event expenses
2,400
5,253
254
21.406
9)g,S17
2,400
6.582
208
19,026
513,737
Total
538,830
541,953
Net galns on Investments
2,815
2,341
NET INCOME
48,203
42,406
RECONCILIATION OF FUNDS
Total funds brought fO￿ard
281,399
238,993
TOTAL FUNDS CARRIED FORWARD
329,602
281,399
The notes fomi part oflhese financlal statements
Page 3

Thè UK Armed Forees Wlnter Sports
Assoclatlon
Balancè Sheet
30 Septembèr 2025
30.9.25
Unrestricted
fund
30.9.24
Totsl
funds
Notes
FIXED ASSETS
Investments
39.414
36.599
CURRENT ASSETS
D&blors
Cash al bank
to
78.932
228,102
61,622
203.207
307.034
284,829
CREDITORS
Amounts falling due vlthln one year
{16,8461
{20,0291
NET CURRENT ASSETS
290,188
244.800
TOTAL ASSETS LE88 CURRENT LIABILITIES
329,602
281,399
NET ASSETS
329,602
281,399
FUNDS
Unreslrlct¢d funds
12
329.602
281,399
TOTAL FUNDS
329,602
281,399
The charitable company Is enlttlgd lo exempllon from aud51 under Secuon 477 of fh9 Companles Act 2006 for Ihe year
e￿Ied 30 September 2025.
rhè mombws have not rOq￿re￿ the company lo obtaln an audll of It8 flnenclal glatements for the year ended
30 Sgptember 2025 In accordance wllh Seclltsn 476 ol the Companies Aol 2006.
The trustees ackno￿edge thelr ￿spOnsIbIlItIa9 for
ensudng that the ¢haritable company keops accountlng records th81 comply wlth Sections 386 ond 387 of tho
Companles Act 2006 and
preparfng finbncial 818ternents whlch give a Irue and fair view of tha st8te of affalrs of th& charitable company as
at the end of each fin8ntyal yeor and ol Ils SUr￿uS or dèfioil for each fln8n¢ial year Sn accordance ￿th the
reqtJirg[￿en18 of Secllons 394 and 395 and which olherwlse comply with Ihe requlr&ments of the Companies Act
2006 rèlating lo flnan¢lal sialemenls, so far as applicable to the charitable company.
Ibl
The flnancial statgm8n18 were approvecj by th6 Board of Truslaas and auihorls¢d for issue
..2ard.Jar)uary.2026...... and were slgned on its behalf by:
on
R Haldonby- Trusi98
The not&s fom part of these tlnancial statemènts
Page 4

Th8 UK Amied Forces Wlnter Sports
Association
Cash Flow Statement
for thè Year Ended 30 Septèmbpr 2025
30.9.25
30.9.24
Notes
Cash flows from operating actlvitl•S
Cash general¢d from operations
InlerEst paid
23,248
12.4781
17.958
12,4141
Nel cash provkJe(J by operating aclivitsBs
20,770
15,544
Cash flows from invgstln9 actlvltles
Inlerèsl received
Di￿d￿n￿$ recelved
2,585
1,540
2,104
1,457
Net cash provlded by Investing pLtvllle
4,125
3,561
Chang& In cash and ¢a¥h equlval•ntts In
th8 rèportlng period
Cagh and Cash equlvklents at the
bo9lnning ofthe rèportlng perfod
24.895
19.105
203,207
184,102
Cash and c8sh equlval8nt$ at tho end of
th& reportlng p•rlod
228,102
203,207
The notes forrn part of those financial statements
Page 5

The UK Armed Forces Wintèr Sports
Asso¢ialion
Noto9 to the Cash Flow Statement
for tho Ygar Ended 30 S&plember 2025
RECONCIUATION OF NET INCOME TO NET CASH FLOW FROM OPERATING AcnviTIES
30.9.25
30.9.24
Net Income for the rèporting perlod las perthe Statement of Flnancial
Activltlesl
Adjustments for..
Gain on inveglments
Inlerest receivod
Interest paid
Dlvldends rgcdved
IlnGreaselldecreas8 In dtrbtors
D&¢roa8e in creditors
48,2C3
42,406
12,81SI
12.5851
12,3411
12,104
2,414
11,4571
74,975
195,9351
{1,5LOI
117,3101
13,1e31
Net cash provld8d by operatlons
23,248
17,958
ANALYSIS OF CHANGES IN NET FUNDS
AI 1.10.24
Cash fiow
At 30.9.25
Net cash
Cash at bank
203.207
24.8
228,102
203,207
24,8
228,102
Total
203,207
24,8SS
228,102
The mtes forrn pwt ofthese financial Statements
Page 6

The UK Armed Forces Winter Sports
Association
Notes to the Flnanclal Statement5
for the Year Ertrded 30 September 2025
AccouKnNG POLICIE8
Basis of preparln9 thè financial statements
Th6 financial statements of the charitable company, which is 8 public beneffit entity under FRS 102, have been
prep8red in accordance with the Charitie8 SORP IFRS 1021 'Accounlinc and Reporting by Charilles.. Slaternent
of Reoomm8nded Practice applicabl& Its charities prep4rlng thelr 8c¢ounls in accordance wllh the Finan¢lal
Reporting Standard applicable in thè UK and Republic of Ireland IFRS 1021 (effective 1 January 20191.,
Finanual Reporllng Standard 102 The Financial Repcrfting Standard appllcable in the UK and Republic of
Ireland, and the Companlès Act 2006. The finandal stalgrr8nts have been preparèd undér tha hislrirical cost
conv8rntion, wilh the exceptlon of Investments which a￿ Included at market value, as modrfied by the revaluation
of cerlaln assets.
Income
l income 1$ recognlsed In Ihe Slalemenl of Financial Activlt5es oncE the charlty has enlwemenl lo the fvnds, il
is probable that the income ￿11 be received and the amount can bg rneasured rellably.
Expandlture
Llabilllles are re￿gniSed as axpendllure as soon as there is B lagal o" constructive obligatlon commllllng the
charlly to that expendllure. il is probable Ihat 8 tr8llsfer of economlc boi$fils ￿11 b& required in selllement and
the amount of Ihe obligation can be measur@d rallably. Expenditure Is accounted lor on an accruals basis 8nd
has been ¢18S5ified under haadings that aggregate all cosl related to the category. Whore co8is cannot be
directly attributed to p8rticular headings they have be8n aljocaled to actl.Ille8 on a bas1$ consistent wlih Ihè u8e
of wsourte8.
Taxatlon
Tho charlly Is ex&mpt from ￿rpora￿On lax on Ils char118ble a¢ilv5tlo8.
Fund a¢countlng
Unrestricted funds can be used In accordance wllh the charitablè object1￿S al the d8crellon of th8 IN5tees,
Re8trictsd funds can only be used for parucular rè8trleled purposés wllhln the oblecls of the charlly. Re8trfctlon8
ari$0 when spacifled by th8 donor or when fund8 are ralsed for partlcular re5trScted purpo$89.
Further ex￿￿natIon of the nalure and purpose of each furKI Is Induded In the nole81o th8 Ilnancial statamants.
DONATK)NS AND LEGACIES
30.9.26
30.9.24
Donat￿n$
574,867
671,585
OTHER TRADING ACTIVITIES
30.9.25
30.9.24
Rechwge Incorr
5.135
e,769
INVESTMEwf INCOME
30.9.25
30.9.24
Other partkjpallng Inte￿5t5
Deposit account interest
1,540
2,585
1,457
2.104
4.125
3,561
Page 7
conllnued...

Tho UK Amied Forc&s Wlnter Sports
Association
Notes to the Flnanclal Statements- continued
forth8 Year Ended 30 Sept8mber 2025
CHARITABLE ACTIVITIES COSTS
Support
costs (see
nL¥te 61
Dir8cI
Costs
Totals
Honorarium8
Offi￿rS Èxp8n8es
Meeting expèns6s
General expenses
Event &xp8rTrsos
2,400
5,253
254
2,400
5,253
254
21,406
509,517
21.4(
509,517
517,424
21,406
538.830
SUPPORT COSTS
Govemance
costs
Flnanc8
Tows
Gener81 &xpgnses
2,478
18.928
21,406
Support ¢08ls, Inclurled in the above, are as follows..
30.9,25
Generdl
expense8
30.9.24
Total
Inlore8t payable and dmllarchwges
Wages
Insuranc9
Telephone
P081age and stallonery
Sundrles
Ac￿UntsnCy fees
Legol fees
Computer costs
Laundry
2,478
11,636
1,057
2,414
10.424
1,141
428
474
567
1,306
329
1,036
907
2S4
67
1,495
2,742
1,495
21.406
19,026
TRUSTEES, REMUNEFiATION AND BENEFITS
There We￿ no trustees, reM￿eratIOn or other b￿efitS for the year ended 30 September 2025 nor for the year
&ndEd 30 September 2024.
Trustsas, ¥xpen5e8
Ekjriro the ye&r there were exp8nses of £5,50712024- £6,790) Incurred on behalf of the trustees.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnrestrEcted
fund
INCOME AND ENDOWMENT8 FROM
Donauons and legacies
571,585
Other tradlng 8Clivities
Investrnent incotre
Other income
6.769
3,561
103
Total
582,018
EXPENDITURE ON
Charotable actlvltles
Honorariums
2,400
Page 8
¢wlinued...

The UK Armed For¢es Wintor Sports
Asso¢iation
t8s to the Flnanclal Statements. continued
for the Year Ended 30 Sèptember 2025
COMPARATIVES FOR TrIE STATEMENT OF FINANCIAL ACTIVITIES . contlnued
Unrestricted
fvnd
Officers expenses
Meeting expÉnses
General expenses
Event expenses
6,582
208
19,026
513,737
Totsl
541,953
N6t galn8 on Inveslm&nts
2,341
NET INCOME
42,406
RECONCILIATION OF FUNDS
Tol81 funds brought forwa
238,993
TOTAL FUNDS CARRIED FORWARD
281,399
FIXEO ASSET INVESTMENTS
L18ts
Investmenty
MARKET VALUE
At 1 October 2024
Flevaluatlons
36,599
2,815
AI 30 September 2025
39,414
NET 800K VALUE
AI 30 Seplernber 2025
39,414
AI 30 Septemb8r 2024
36,599
There wer& no Investment assets oulsSde the UK.
Cost or valuE(lon 8130 Sèptember 202518 represented by..
Llsled
Invcstm9nls
Valuallon in 2022
V8lualion in 2023
Valuation in 2024
Valuation In 2025
Cost
13,8081
12.1671
2,341
2,815
40,233
39,414
The fixed asset investments werè valued on an open market basis on 30 Sepl8mb81 2025 by Blackrock
Investment ManagemBnL
Pag6 9
continued...

The UK Armed Forces Wint8r s￿rts
Association
Notes to the Financlal Statements. contlnued
for the Year Ended 30 S&ptember 2025
10.
DEBTORS.. Amouvfs FALLING DUE wrrHIN ONE YEAR
30.9.25
30.9.24
other debtors
78,932
e1,622
11.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
30.9.25
30.9.24
Oiher creditor8
16,846
20.029
12
MOVEMENT IN FUNDS
At
1.10.24
movement
In funds
At
30.9.25
Unr8strlcted funds
General fund
281,399
48,203
329,802
TOTAL FUNDS
281,399
48,203
329,602
Net movement In funds, included In Ihe above are as folknws..
In¢omlng
80urce8
Resources
expended
Galns and
losses
Movamonl
n fvnds
Unrestrlcted fund$
General fund
584,218
1538,8301
2,815
48,203
TOTAL FUNDS
584,218
153e,8301
2,815
48.203
Comparatlv?8 for movamgnt In funds
Al
1.10.23
movemenl
in funds
At
30.9.24
Unre$trl¢tod fvnds
General fund
238,993
42,406
281,399
TOTAL FUNDS
238,993
42,406
281.399
Q)mparative net rnovemenl in funds, included In the above are as follows..
Incornlng
res￿rceS
ResourceB
expended
GAlns and
losses
Movemenl
In funds
Unrostrlctèd fund8
General fun¢f
582,018
1541.9531
2,341
42.406
TOTAL FUNDS
582,018
1541,9531
2,341
42,406
P8ge 10
continued...

Thè UK Armed Forces Wlnter Sports
Association
Notes to the Financial Ststements- contlnued
for th& Year Ended 30 September 2025
11
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prioryear 12 monihs combined posillon Is as follows..
Nel
movement
Sn funds
At
1.10.23
At
30.9.25
Unrestrl¢ted fvnds
Gener81 fund
238,993
90.6C9
329,602
TOTAL FUNDS
238,993
9),609
329,602
A ¢urronl yew 12 months and prlor year 12 murths comblned net rnovemenl In (unds, included In the above are
as follows..
In¢omlng
resourcèg
Resources
expended
G8lns and
Ios8es
Movemenl
In furKI8
Unrestrlctgd fundg
Genèral lund
1,166.236
11.080,7831
5.156
90,609
TOTAL FUNDS
1.166,236
11,080,783)
5,156
90,609
13.
REiATED PARTY DISCLOSURES
Thère were related party transacllon8 for the year ended 30 SerAember 2025.
Pag&11

The UK Armed Forces Wlnter Sports
Assoclatlon
Detalled Statement of Flnancial Activitle8
for thè Yèar Endèd 30 September 2025
30.9.25
30.9.24
INCOME ANI) ENDOWMENTS
Donations and leg8cie$
Donations
574,867
571.585
other tradlng acllviti•s
Rè¢h8rg8 Sncome
5.135
6,769
Investment Incom
Other particlpaung int8re51s
08POSIt account Intèrest
1,540
2,585
1.457
2,104
4,125
3,561
Othèr In¢ome
Other Income
91
103
Total Incomlng resourc08
684,218
S82,018
EXPENDITURE
Charllable actlvltl88
Honorariums
Offielals expenses
MO￿1n9 expenses
Event expenses
2,<00
5,253
254
509,517
2.400
6,582
21J8
513,737
517,424
522.927
Support costs
Flnanc
Banklng leeslflnenc￿[ charges
2,478
2.414
Governance costs
Wages
Insurance
Telephone
Postage and stauonery
SundrEes
Accountancy faèg
Legal lees
Computer costs
Laundry
11,636
1,057
10,424
1.141
428
474
567
1,306
329
1,036
907
254
67
1,49S
2.742
1,495
18,928
16,612
Tolal resouroes axpend8d
538,630
541.953
Net Incomo
45,388
40,065
This page does not form part of the statutory financial statements
P$ge 12

REGISTERED COMPANY NUMBER.. 07033277 IEngland and Wales)
REGISTERED CHARITY NUMBER.. 1138305
Report ofth• Trustees and
Unaudltèd FlnancSal Slat¢ments for tha Ygar Ended 30 S&plember 2025
for
Tho UK Armèd Forces Wlnt•r Sport8
A8soclatlon
Dlal Square AsscKlates Limlled
Char(èrÉd Accountants
9 Sl Georges Yard
Famham
Surrey
GU9 7LW

The UK Armed Forces Winter Sports
Assoclatlon
Contents of the Flnancial Statements
for thè Year Ended 30 Septgmber 2025
Page
Rgport of the Tru5ts9¥
Independent Examlnorf5 Roport
Stsiem¢nt of Flnanclal Activities
Balanco Sh88t
Cash Flow Statemant
Notes to the Cash Flow Stat&mont
Nots$ to the Flnan¢lal Slatem8nts
7 to 11
Data119d Statsment of Flnan¢lal Acllvltle8
12

The UK Amied Forces Wlntsr Sports
Association
Rèport of the Trustees
forthe Year Ended 30 Septembèr 2025
The Iru5tees who are also directors of the charity for the PUTposes Df the Companies Act 2006, present their report with
the financial statements of the charity for the year ended 30 September 2025. The trustees have adopted the provislons
of Accounting and Reporting by Charities.. Statement of Recommènded Practi¢e applic&ble to charitl@s preparing their
accounts In accordance with the Financial Reporting Standard applicable in the UK aThJ Repuilic of lfyland IFRS 1021
leffective l January 20191.
STRATEGIC REPORT
STRUCTURE. GOVERNANCE AND MANAGEMENT
Govarnlng document
The charlty Is controlled by Its gov8inlng documenE,
guarantee. as definèd by the Companles Act 2006.
de8d of trust, and conslllut&g a limited company, limlled by
Rlsk management
The trusloes have a duly to idènllfy and review the rfsks to wNch tho charity is exp08ed and lo ensure appropriats
controls are in place lo provlde reasonable assurance ag8lnst fraud and error.
REFERENCE AND ADMINISTRATIVE DETAILS
Re9lSter8d Company numbor
07033277 (England and Wales)
Roglstered Charlty numb•r
1138305
Reglst•red offlco
Alexandra House
Sl Johns Str891
Salisbury
Wlllshlre
SPI 2SB
Tru$t&es
rfg8dier R Haldenby
Group Capl M L Cunnlngharn
Commodorg R HArrfs
T J D8v6y
J E Fossgy
Company Se¢rotary
Wll8on8 Icempany S8crelar)esl Llmlled
Independent Examlner
l R Fulcher FCA
Dlal Square Assoei8les Llmlled
Chertered Accountants
9 Sl Gèorges Yard
Famh8m
Surrey
Gug 7LW
Raport of the trustees, incorporating 8 strategic report, approved by or(ler of th¢ b08rd of trusteès, as the compaw
directors, on ......23rd.January.2azfj....... and 81wed on the board's behalf by..
Brf9a¢Jer R Haldert)y-Trusl
Page 1

Ind•pendent Examlnerfs Report to the Trustee$ of
Th• UK Arm8d Forces WEllter Sports
Associatlon
Independent &xamlner's report to the trustees of Tho UK Armed Forces Winter Sport$ Assoclatlon Ilhe
Company'l
I report lo the chariiy trustéès on my examln8tlon crf thtr accounts of the Company for the ye* anded
3fl September 2025.
Responsibilille8 and basls of report
As thè charitys Irustoe5 of the Company land also Its directors for (he purposes of company lawl you are responslblè for
the preparation ol Ihe aGcount8 in accordance wllh requirements of the Companies Act 20061'the 2006 Act'i.
Having sali$fl8d myself that the accounts of the Company are not requlred to be audltod under Part 16 of the 2006 knt
and are ellgible for Indepondent examln81ion, I report in ￿SpeCt of my exarnlnation of your charity* accounts as carried
out under Saellon 145 of tho Charities Act 2011 Ilhe 2011 Act'l. In carrying out my exarninalion I have followed the
Directions oiven by the Chariiy Commission under Section 145151 Ibl of the 201 f Act.
Ind•pèndent oxaminerb 8tstemont
Sln¢e your charity's gros5 Income exceeded P250,0(KJ YOLW examiner must be a member ol a li51ed body. l Can tonfimi
that l am quallfied to undertake the exarninalion bécause l am a MeTh￿er tsf th¢ Inslilule of Chartered Accountants In
England and Wales, whlch Is one of the Ilst8d tKdies.
I have completed rlly examin8llon. I conflmi that no mBttèr8 have ￿me lo my altgnlion lft ¢onnecllon with Ihe
examlnat]on giving mè cause lo beligve:
accounting recor(Is were not kept In respect of the Company as requlred by Sectlon 386 of the 20[￿ Act., or
the accounts do not accord with those records,. or
the accounts do not ¢omply wllh the accountln9 rewlremenls of Section 396 of the 2006 Act olhBr than any
requlremenl that th8 accounts glve 8 true and fair vlew whlch Is not a rnattor consldered 89 Part of an
indepèndent examlnallon., or
the accoun18 have not be8n prepared In accordance wlth the rnethodg and prlnclples of the Slatem8nl of
Recommended Practice for accounllng 8nd reporllng by d)adtle$ 18pplicable lo charilles preparing thelr
accounts In accordanc8 wllh the Flnancial Reportlng Standard appllcablo In Ihe UK Republlc of Irtrland IFRS
10211.
I have no concerns and have come across no olhor matlor8 In connoc1￿m wilh the examlnallon lo ¥sthlch 8ttentlon Should
bè drawn In Ihls reput in orderlo anab18 0 propèr undorslandlng of the accounts to be reached.
J4J
l R Ful¢her FCA
Dlal Square AssDciates Llmlted
Chartered Acctsuntants
9 St Georges Yard
Farnham
Surrey
GU97LW
Page 2

The UK Amied Forees Winter Sports
Association
statement of Financlal Actlvltles
for the Year Ended 30 Spptember 2D25
30.9.25
unrestr￿ted
fund
30.9.24
Total
fijnds
Nolos
INCOME AND ENDOWMENTS FROM
Donatitsns and legaci9S
574,867
571,585
Otherlradlng activli
Investment Income
Other incom&
5.135
4.125
91
6.769
3,561
103
Total
584,218
582.018
EXPENDITURE ON
Charltablo a¢tlvities
Honorarlums
Offlcers &xp8nses
M8elin9 expenses
General expenses
Event expenses
2,400
5,253
254
21.406
9)g,S17
2,400
6.582
208
19,026
513,737
Total
538,830
541,953
Net galns on Investments
2,815
2,341
NET INCOME
48,203
42,406
RECONCILIATION OF FUNDS
Total funds brought fO￿ard
281,399
238,993
TOTAL FUNDS CARRIED FORWARD
329,602
281,399
The notes fomi part oflhese financlal statements
Page 3

Thè UK Armed Forees Wlnter Sports
Assoclatlon
Balancè Sheet
30 Septembèr 2025
30.9.25
Unrestricted
fund
30.9.24
Totsl
funds
Notes
FIXED ASSETS
Investments
39.414
36.599
CURRENT ASSETS
D&blors
Cash al bank
to
78.932
228,102
61,622
203.207
307.034
284,829
CREDITORS
Amounts falling due vlthln one year
{16,8461
{20,0291
NET CURRENT ASSETS
290,188
244.800
TOTAL ASSETS LE88 CURRENT LIABILITIES
329,602
281,399
NET ASSETS
329,602
281,399
FUNDS
Unreslrlct¢d funds
12
329.602
281,399
TOTAL FUNDS
329,602
281,399
The charitable company Is enlttlgd lo exempllon from aud51 under Secuon 477 of fh9 Companles Act 2006 for Ihe year
e￿Ied 30 September 2025.
rhè mombws have not rOq￿re￿ the company lo obtaln an audll of It8 flnenclal glatements for the year ended
30 Sgptember 2025 In accordance wllh Seclltsn 476 ol the Companies Aol 2006.
The trustees ackno￿edge thelr ￿spOnsIbIlItIa9 for
ensudng that the ¢haritable company keops accountlng records th81 comply wlth Sections 386 ond 387 of tho
Companles Act 2006 and
preparfng finbncial 818ternents whlch give a Irue and fair view of tha st8te of affalrs of th& charitable company as
at the end of each fin8ntyal yeor and ol Ils SUr￿uS or dèfioil for each fln8n¢ial year Sn accordance ￿th the
reqtJirg[￿en18 of Secllons 394 and 395 and which olherwlse comply with Ihe requlr&ments of the Companies Act
2006 rèlating lo flnan¢lal sialemenls, so far as applicable to the charitable company.
Ibl
The flnancial statgm8n18 were approvecj by th6 Board of Truslaas and auihorls¢d for issue
..2ard.Jar)uary.2026...... and were slgned on its behalf by:
on
R Haldonby- Trusi98
The not&s fom part of these tlnancial statemènts
Page 4

Th8 UK Amied Forces Wlnter Sports
Association
Cash Flow Statement
for thè Year Ended 30 Septèmbpr 2025
30.9.25
30.9.24
Notes
Cash flows from operating actlvitl•S
Cash general¢d from operations
InlerEst paid
23,248
12.4781
17.958
12,4141
Nel cash provkJe(J by operating aclivitsBs
20,770
15,544
Cash flows from invgstln9 actlvltles
Inlerèsl received
Di￿d￿n￿$ recelved
2,585
1,540
2,104
1,457
Net cash provlded by Investing pLtvllle
4,125
3,561
Chang& In cash and ¢a¥h equlval•ntts In
th8 rèportlng period
Cagh and Cash equlvklents at the
bo9lnning ofthe rèportlng perfod
24.895
19.105
203,207
184,102
Cash and c8sh equlval8nt$ at tho end of
th& reportlng p•rlod
228,102
203,207
The notes forrn part of those financial statements
Page 5

The UK Armed Forces Wintèr Sports
Asso¢ialion
Noto9 to the Cash Flow Statement
for tho Ygar Ended 30 S&plember 2025
RECONCIUATION OF NET INCOME TO NET CASH FLOW FROM OPERATING AcnviTIES
30.9.25
30.9.24
Net Income for the rèporting perlod las perthe Statement of Flnancial
Activltlesl
Adjustments for..
Gain on inveglments
Inlerest receivod
Interest paid
Dlvldends rgcdved
IlnGreaselldecreas8 In dtrbtors
D&¢roa8e in creditors
48,2C3
42,406
12,81SI
12.5851
12,3411
12,104
2,414
11,4571
74,975
195,9351
{1,5LOI
117,3101
13,1e31
Net cash provld8d by operatlons
23,248
17,958
ANALYSIS OF CHANGES IN NET FUNDS
AI 1.10.24
Cash fiow
At 30.9.25
Net cash
Cash at bank
203.207
24.8
228,102
203,207
24,8
228,102
Total
203,207
24,8SS
228,102
The mtes forrn pwt ofthese financial Statements
Page 6

The UK Armed Forces Winter Sports
Association
Notes to the Flnanclal Statement5
for the Year Ertrded 30 September 2025
AccouKnNG POLICIE8
Basis of preparln9 thè financial statements
Th6 financial statements of the charitable company, which is 8 public beneffit entity under FRS 102, have been
prep8red in accordance with the Charitie8 SORP IFRS 1021 'Accounlinc and Reporting by Charilles.. Slaternent
of Reoomm8nded Practice applicabl& Its charities prep4rlng thelr 8c¢ounls in accordance wllh the Finan¢lal
Reporting Standard applicable in thè UK and Republic of Ireland IFRS 1021 (effective 1 January 20191.,
Finanual Reporllng Standard 102 The Financial Repcrfting Standard appllcable in the UK and Republic of
Ireland, and the Companlès Act 2006. The finandal stalgrr8nts have been preparèd undér tha hislrirical cost
conv8rntion, wilh the exceptlon of Investments which a￿ Included at market value, as modrfied by the revaluation
of cerlaln assets.
Income
l income 1$ recognlsed In Ihe Slalemenl of Financial Activlt5es oncE the charlty has enlwemenl lo the fvnds, il
is probable that the income ￿11 be received and the amount can bg rneasured rellably.
Expandlture
Llabilllles are re￿gniSed as axpendllure as soon as there is B lagal o" constructive obligatlon commllllng the
charlly to that expendllure. il is probable Ihat 8 tr8llsfer of economlc boi$fils ￿11 b& required in selllement and
the amount of Ihe obligation can be measur@d rallably. Expenditure Is accounted lor on an accruals basis 8nd
has been ¢18S5ified under haadings that aggregate all cosl related to the category. Whore co8is cannot be
directly attributed to p8rticular headings they have be8n aljocaled to actl.Ille8 on a bas1$ consistent wlih Ihè u8e
of wsourte8.
Taxatlon
Tho charlly Is ex&mpt from ￿rpora￿On lax on Ils char118ble a¢ilv5tlo8.
Fund a¢countlng
Unrestricted funds can be used In accordance wllh the charitablè object1￿S al the d8crellon of th8 IN5tees,
Re8trictsd funds can only be used for parucular rè8trleled purposés wllhln the oblecls of the charlly. Re8trfctlon8
ari$0 when spacifled by th8 donor or when fund8 are ralsed for partlcular re5trScted purpo$89.
Further ex￿￿natIon of the nalure and purpose of each furKI Is Induded In the nole81o th8 Ilnancial statamants.
DONATK)NS AND LEGACIES
30.9.26
30.9.24
Donat￿n$
574,867
671,585
OTHER TRADING ACTIVITIES
30.9.25
30.9.24
Rechwge Incorr
5.135
e,769
INVESTMEwf INCOME
30.9.25
30.9.24
Other partkjpallng Inte￿5t5
Deposit account interest
1,540
2,585
1,457
2.104
4.125
3,561
Page 7
conllnued...

Tho UK Amied Forc&s Wlnter Sports
Association
Notes to the Flnanclal Statements- continued
forth8 Year Ended 30 Sept8mber 2025
CHARITABLE ACTIVITIES COSTS
Support
costs (see
nL¥te 61
Dir8cI
Costs
Totals
Honorarium8
Offi￿rS Èxp8n8es
Meeting expèns6s
General expenses
Event &xp8rTrsos
2,400
5,253
254
2,400
5,253
254
21,406
509,517
21.4(
509,517
517,424
21,406
538.830
SUPPORT COSTS
Govemance
costs
Flnanc8
Tows
Gener81 &xpgnses
2,478
18.928
21,406
Support ¢08ls, Inclurled in the above, are as follows..
30.9,25
Generdl
expense8
30.9.24
Total
Inlore8t payable and dmllarchwges
Wages
Insuranc9
Telephone
P081age and stallonery
Sundrles
Ac￿UntsnCy fees
Legol fees
Computer costs
Laundry
2,478
11,636
1,057
2,414
10.424
1,141
428
474
567
1,306
329
1,036
907
2S4
67
1,495
2,742
1,495
21.406
19,026
TRUSTEES, REMUNEFiATION AND BENEFITS
There We￿ no trustees, reM￿eratIOn or other b￿efitS for the year ended 30 September 2025 nor for the year
&ndEd 30 September 2024.
Trustsas, ¥xpen5e8
Ekjriro the ye&r there were exp8nses of £5,50712024- £6,790) Incurred on behalf of the trustees.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
UnrestrEcted
fund
INCOME AND ENDOWMENT8 FROM
Donauons and legacies
571,585
Other tradlng 8Clivities
Investrnent incotre
Other income
6.769
3,561
103
Total
582,018
EXPENDITURE ON
Charotable actlvltles
Honorariums
2,400
Page 8
¢wlinued...

The UK Armed For¢es Wintor Sports
Asso¢iation
t8s to the Flnanclal Statements. continued
for the Year Ended 30 Sèptember 2025
COMPARATIVES FOR TrIE STATEMENT OF FINANCIAL ACTIVITIES . contlnued
Unrestricted
fvnd
Officers expenses
Meeting expÉnses
General expenses
Event expenses
6,582
208
19,026
513,737
Totsl
541,953
N6t galn8 on Inveslm&nts
2,341
NET INCOME
42,406
RECONCILIATION OF FUNDS
Tol81 funds brought forwa
238,993
TOTAL FUNDS CARRIED FORWARD
281,399
FIXEO ASSET INVESTMENTS
L18ts
Investmenty
MARKET VALUE
At 1 October 2024
Flevaluatlons
36,599
2,815
AI 30 September 2025
39,414
NET 800K VALUE
AI 30 Seplernber 2025
39,414
AI 30 Septemb8r 2024
36,599
There wer& no Investment assets oulsSde the UK.
Cost or valuE(lon 8130 Sèptember 202518 represented by..
Llsled
Invcstm9nls
Valuallon in 2022
V8lualion in 2023
Valuation in 2024
Valuation In 2025
Cost
13,8081
12.1671
2,341
2,815
40,233
39,414
The fixed asset investments werè valued on an open market basis on 30 Sepl8mb81 2025 by Blackrock
Investment ManagemBnL
Pag6 9
continued...

The UK Armed Forces Wint8r s￿rts
Association
Notes to the Financlal Statements. contlnued
for the Year Ended 30 S&ptember 2025
10.
DEBTORS.. Amouvfs FALLING DUE wrrHIN ONE YEAR
30.9.25
30.9.24
other debtors
78,932
e1,622
11.
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
30.9.25
30.9.24
Oiher creditor8
16,846
20.029
12
MOVEMENT IN FUNDS
At
1.10.24
movement
In funds
At
30.9.25
Unr8strlcted funds
General fund
281,399
48,203
329,802
TOTAL FUNDS
281,399
48,203
329,602
Net movement In funds, included In Ihe above are as folknws..
In¢omlng
80urce8
Resources
expended
Galns and
losses
Movamonl
n fvnds
Unrestrlcted fund$
General fund
584,218
1538,8301
2,815
48,203
TOTAL FUNDS
584,218
153e,8301
2,815
48.203
Comparatlv?8 for movamgnt In funds
Al
1.10.23
movemenl
in funds
At
30.9.24
Unre$trl¢tod fvnds
General fund
238,993
42,406
281,399
TOTAL FUNDS
238,993
42,406
281.399
Q)mparative net rnovemenl in funds, included In the above are as follows..
Incornlng
res￿rceS
ResourceB
expended
GAlns and
losses
Movemenl
In funds
Unrostrlctèd fund8
General fun¢f
582,018
1541.9531
2,341
42.406
TOTAL FUNDS
582,018
1541,9531
2,341
42,406
P8ge 10
continued...

Thè UK Armed Forces Wlnter Sports
Association
Notes to the Financial Ststements- contlnued
for th& Year Ended 30 September 2025
11
MOVEMENT IN FUNDS- contlnued
A current year 12 months and prioryear 12 monihs combined posillon Is as follows..
Nel
movement
Sn funds
At
1.10.23
At
30.9.25
Unrestrl¢ted fvnds
Gener81 fund
238,993
90.6C9
329,602
TOTAL FUNDS
238,993
9),609
329,602
A ¢urronl yew 12 months and prlor year 12 murths comblned net rnovemenl In (unds, included In the above are
as follows..
In¢omlng
resourcèg
Resources
expended
G8lns and
Ios8es
Movemenl
In furKI8
Unrestrlctgd fundg
Genèral lund
1,166.236
11.080,7831
5.156
90,609
TOTAL FUNDS
1.166,236
11,080,783)
5,156
90,609
13.
REiATED PARTY DISCLOSURES
Thère were related party transacllon8 for the year ended 30 SerAember 2025.
Pag&11

The UK Armed Forces Wlnter Sports
Assoclatlon
Detalled Statement of Flnancial Activitle8
for thè Yèar Endèd 30 September 2025
30.9.25
30.9.24
INCOME ANI) ENDOWMENTS
Donations and leg8cie$
Donations
574,867
571.585
other tradlng acllviti•s
Rè¢h8rg8 Sncome
5.135
6,769
Investment Incom
Other particlpaung int8re51s
08POSIt account Intèrest
1,540
2,585
1.457
2,104
4,125
3,561
Othèr In¢ome
Other Income
91
103
Total Incomlng resourc08
684,218
S82,018
EXPENDITURE
Charllable actlvltl88
Honorariums
Offielals expenses
MO￿1n9 expenses
Event expenses
2,<00
5,253
254
509,517
2.400
6,582
21J8
513,737
517,424
522.927
Support costs
Flnanc
Banklng leeslflnenc￿[ charges
2,478
2.414
Governance costs
Wages
Insurance
Telephone
Postage and stauonery
SundrEes
Accountancy faèg
Legal lees
Computer costs
Laundry
11,636
1,057
10,424
1.141
428
474
567
1,306
329
1,036
907
254
67
1,49S
2.742
1,495
18,928
16,612
Tolal resouroes axpend8d
538,630
541.953
Net Incomo
45,388
40,065
This page does not form part of the statutory financial statements
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