REGISTERED COMPANY NUMBER.. 07864964 IEllg12nd alld Wales)
RECISTERED CHARITY NUMBER.. 1147168
ort of the Trustees and
Finanelal Statement5 for the Year Ended 31 March 2024
for
London Ti
ers Limited
A co￿1
Limited b Guarantee
JSS & Co Accounlants
26 Thorney Lan¢ South
Iver
BuekinghamshiT¢
SLO 9AE

London'fi
ei'5 Limited
Contents of the Financial Slalements
f r the Year Ended 31 March 2024
Page
Rttport of the TTUSt¢e5
Independent Ex2mineVs Report
Slalement of Finantittl A¢tivi11¢5
Balance Shett
Notes to the Finarttial Statements
Detailed Statement of Financial Activiiies

London Ti
erg Limited
ort of the Tru8lc¢s
f r the ye￿ Ended 31 March 2024
The tni8lces wlio are also ditecioT8 of the cb8Tity for Iht purposes of th¢ CoTnpanies Act 2006. pr¢sent their Itport witli the financial
statements of the charity for the year ended 31 March 2024. Th¢ trustee5 have adopted the provisions of Accountll)g and Reporting by
Charilics.. Stat¢meDt of Rtcomincnd¢d Pr&ttice applicable to chaTities preparing Ilieii account$ in aecordaiice with the Financial
Reporting St3ndaTd appltcable in the UK 3nd Republic ot IirlaDd IFRS 1021 (effective l J￿i￿ary 20191.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
Tiie charity is controlled by itsgoverning do¢umcnL ad¢¢d of Itus¢ and con8tststes alimited company. limitedby gu4r8nle4 as defin&J
by die Coirpgnie5 Act 2006.
REFERENCE AND ADMINISTRATIVE DETALLS
Registered Company number
07864964 IEnEland alld Wale5)
Registered Charity number
1147168
Registored offi¢e
London Tigcrs Sport5 Complex
West Avenue
Soulhall
London
UBI 2AR
Trustees
R Boddy
A Adgrarnola
W Ahtned
M Ahmed
A Khan
M Abdullah
Company Secretary
Independent Examlner
JSS & Co Actounlattis
26 Thorney Lane South
Ever
Buckinghamshire
SLO 9AE
Approved by order of the board of trustees on 12 December2024 and signed on its beh21f by..
W Ahmed- Tn]5t¢e
Pag¢ I

IPMI C4xaminerf
Indepelldent eKHniitLÈf'S teportlo tIiEtrustees of Loiidon TIge￿ Liiiiited {'the Company'l
l i"eport to the charity I￿steeS on my ÈXLwninatlOH Df IhÈ accounts of the Company lor Ihe year ended 31 Maych 2024.
RtSPDnsibli ities and basKs of report
As die £liaii(y's I￿l￿eS of ihe Company (and also diroctots lor the purposes ol coiiipany lawl you are resportgible ti)r tho
preparaiion of ill￿ accounis in accordance i*iili Llie retiulreixeiii.% of Ihe CompaiJio5 Aci 20061'ihe 2006 Acl'l.
Ilaving sauslied myself that llie accounts of the CoTLipany iiot requliEd ¢0 be audited undÈr Pari 16 of the 2006 Act and 3r
eligible for Indeppndent ex3minaiion. I report respect of my Èxan)inatson ol your charity's aLLuDnts as cari'ied out under Seclioii
145 of the Chariues Act 2011 Cihe 20LI Actrl. carrying Dut my eX￿ni￿all0￿ I have followed the Direaion5 given by ihe Chdiity
Cominis5É0Li linder Se￿10￿ 145(51 Ib) of the 2011 Acr.
IndopEndent eKaffliner'$ stattmeni
I have Co￿p101￿d my examinatTOO. I confirm thai no maiters have come 10 my aitentiort in conneciion with Ihe examinatiDn giving
me cause EO belleye..
8ccoui)IITig Fecords were Iiot kept respecr of the Company a5 Tequiredby 5ectioii 386 of the 2006 A£t.' or
the accounts do ngt aLLor(l iqiih those records., or
Ihe aECDUllll do iioT COIDply wirlj Ihe aL£oiiniing rpqlllremeni% of SÈcilon 396 of the 2006 Aci other thali ai)y Ttqulreilleiii Ihai
Ihp actouAis have iioi b£eA piepared in accoidartce ivith iho rnCLhod3 and Principles ol Ihe Siaiernent of Recomipended
PraciicE for atcouniing and ieporiing by charitios {applicable lty thariiles prepariiig thelr actoun15 in aetoidance wlth Ihe
FiDan¢ial R¢porilng Siand8id applicable in Ihe UK and Ilepublic of Iieland IFRS 102)).
I have no concenis aiid have come acr055 110 oilier niatters In coiinectS01i iviili the exaniinaiion tD which attention sliould be drawii In
Ihls report in ordei'to enable a proper urtdersianding ol the atcounts 10 be reached.
Jsu&co
AC(X)UFnAhTS
26 TlaXN13Y LANE SOUTH
IVER
IIUCK& SIJ) 9AE
IEL: 01753-650554
FAX: 01754?_783798
P Nagiiloswaran FFA FTA
JSS & Co Accoiinianis
26 Thorney Lène Soulli
Iver
Buckinghatttshire
SLO 9AE
16 December 2024
Pagè 2

LoiidonTi
Statein¢nt of Financial Aclivilies
for Ili¢ Year Ended 31 Marcli 2024
31.3.24
31.3.23
Unrtslricled
funds
Totsl funds
Notes
IiYCOME AND EINDOWMENTS FROM
Donaltons and legacies
Charitable activities
Oihcr trading activiti¢S
82,328
152.749
62,786
110,138
Totsl
247.027
197703
EXPENDITURE ON
Other
261.804
239 085
NET tNCOTrIEI{EXPENDITURE)
{14,7771
(41 J821
RECONCILIATION OF FUNDS
Total funds brOU￿}t foFWtrd
87.447
128,829
TOTAL FUNDS CARRIED FORWARD
72.670
The notes form part of these financial 5t&ten)ents
Pag¢ 3

Londoii
¢r5 Limited
Balance Sheet
3 1 March 2024
31.3.24
31.3.23
UnTestricl¢d
fund5
Total funds
Not¢s
FIXED ASSETS
Tangible wsels
3.793
4,462
CURRFNT ASSETS
Debior5
6.381
Cash at bank and in hand
109 557
116859
109.557
123.240
CREDITORS
Amounts fallingdue withi5] oneycar
(40,680)
{40.2551
NET CURRENT ASSETS
68.877
TOTAL ASSETS L&SS CURBKNT LIABILITIES
72.670
87,447
NET ASSETS
87,447
FUNDS
Unrestricted funds
87.447
TOTAL FUNDS
72.670
87.447
The charitabl¢ rompany is entitled t(k exemption from audit under S¢dion 477 of the CompÈnit8 Act 2006 for the year ended
31 March2024.
The members have not Tequired the company to obtain Bn audit of its finyllJcia] statements for the year ended 31 March 2024 ill
atcordanc¢ with Section 476 of th¢ Compani¢s Aet 2006.
Th¢ trustees acknowledge their r&gponsibilities for
{a)
ensuring that the charitable company keeps ￿¢0￿1)tiftg r¢rords that comply with Sections 386 and 387 of the Comp8nies Act
2006 and
preparing financial 5tatemtnts which givc atme and fairview of the slate of affbirs of the rharitable COTllParty a5 at the end of
each finantial year and of it5 surplus ordeficit for e￿h financial year in accoTdtnce with the reqU￿¢￿emtS of Sections 394 3nd
395 aDd which otherwise comply willi the requirements of the Cotnpatties Act 2006 relating to fjnanciil slatcments, so faT as
applicable to the chatitable company.
Thes¢ fjnancial statements have be¢n preper¢d in accordance with th¢ provisions applicable to charitable companies subject to the
small compani¢s regime.
Th¢ fift￿CIal st21ement5 were approved by th¢ Board of Twslees and authori5ed for issue on 12th December2024 and were signed on
its behalf by:
(b}
A l<han. Ttust¢¢
W Ahmed- Trustee
The notss fortn part of th¢s¢ financial statements
Page 4

London Ti
eTS Limited
Notes to iht Finwicial Slalem¢nts
for thc Ye2rEnded 31 March 2024
ACCOUNTINC POLICIES
Basis of preparing the financial statements
The financial slattinents of tht charitable cotnpJny, which is a publiG benefit entity under FRS 102. hav¢ been prepared
accordance with the Chaiities SORP {FRS 102)'AccouNting and Reportingby Chgrilits.. Staternentof Recommeiided Practic¢
applicable to ¢harit1¢5 preparing tIi¢iT accouiits in accordance wilh lh¢ Financial Reporting Standard applicable in th¢ UK and
Republic of Ireland IFRS 1021 leffeclive l January 2019),. Financial Reporting Standard 102 The Financial Reporting
Standard applitable in the UK and Republic of Irel￿d, #nd the Companies Act 2006. Th¢ financial 5¢atements have been
prepared under the lii5torical cost wnvention.
l]Jtome
All illcorne is recognistd in th¢ Slaltment of Financial Activities onec th¢ ch￿lty has entitl¢mcnt to the funds. it is probable
Ihat the income will bt rec¢ived, and tlie atnount can be measur¢d reliably.
Expenditurt
Liabilitie5 are recognised a5 expenditUTe 28 soon as there is & legal or constniclive obligation comtnilling th¢ charity to that
expeiiditure, it IS PTobable that & transfer of ceonomic benefits will be required in settlement and the amoullt of the obligation
t￿1 be measured reliably. Expenditure Is aecounted for an aecruals basis and has been classified under headings that
8ggregate all cost related to the category. Where costs cannot be directly attributed to particular headin￿ they have been
allocated to activities on abasis consistent with thr use of re50urce8.
Tangible fixed xssets
Depreciaiion is provid¢d at the following annual Tatts in order to write off each asset over its e8tim2led us¢ful life.
TRXAtion
The charity is exempt from corporation on its ch&Thtable activities.
Fund acctsttrtting
Unre*ritttd funds can be used in accordance with the charitable objectlVe5 at the di5CTetiort of th¢ tnisttes.
R¢stricted fund5 ¢8n only b¢ used for particular ￿SlE1cted purposes within the object5 of the charity. Restrictions aT15¢ when
specified by the donor or when fllnds are raised forparticulaT Testricted pwoses.
Further explanation of th6 nature and puyp05¢ of each fund is incSud¢d in thenot¢s to the finanGiaJ statements.
Hire pur¢h&se le&sirtg eomrlliÉment5
Rentals paid under opeTating leases are chorged tothe Statementof Financial Activities on a straight line basis ov¢rthe period
of the lease.
Ptnsion tosts and other post-retirement benefits
The chwitable cotnpany OPeTate8 a defined contribution pension scliern¢. Contributions payable to the charit&ble company's
pension 5chtme aTe charg¢d to the StateTnent of Finantial Activities in the period to which they relat¢.
OTIIKR TRADINGACTIVITIES
31.3.24
31.3.23
Fundraising Events
11.950
NET INCOMEI(EXPENDITURE)
Net incomdlexpendits]re) is 5tat¢d after Charging1{c￿d1tfftg}'.
31.3.24
31.3.23
Depreciation- owntd ￿ets
Other operating le8ses
669
788
4.698
Pagc 5
continued...

London Ti
crs Limited
Notes to ihe Financial Statement
r the Year Ended 31 Mairh 2024
continued
TRUSTEES, REMUNERffjTION AND BENEFITS
There werenotru$iets' remunETationorotheT benefits fortheyearended 31 March 2024 norforlh¢ye8r ended 31 Match 2023.
Trllstee5 expenses
There were no trtistee5' expenses paid for ihe year ¢nd¢d 31 March 2024 nor for th¢ ended 31 March 2023.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fulld5
INCOME AND ENDOWMENTS FROM
Doiiations and legaoi¢g
ch￿itable activitleS
Odier tFading activities
62,786
110,138
Total
197.703
EXPENDITURE ON
Oth
239.085
NET JficoMEI(EXPENDITURE)
141.3821
RECONCILIATION OF FUNDS
Total fundsbrought forward
128,829
TOTAL FUNDS CARRIED FORWARD
TANGIBLE FIXED ASSETS
Fixtures
rjttings
COST
At I ApTiI 2023 and 31 March 2024
14,112
DEPRECIATION
At l April 2023
Ch8rg¢ foryear
9.650
669
At 31 Morch 2024
10.319
NET BOOKVALUE
At 31 MaTth 2024
3,793
At 31 March 2023
4.462
Page 6
continued...

London Ti
eis Limited
Note5 to the Financial Stat¢ments- con
forthe Year Ended 31 March 2024
inued
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.24
31.3.23
TFade debtors
6,381
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YKAR
31.3.24
31.3.23
Trade credTtor8
Accrued expenses
39.660
39.379
876
40,680
40,255
MOVKMENT IN FUNDS
Net
Inovemtnt
in funds
At 1.4.23
At 31.3.24
Unrtstricted futtds
General fund
87,447
{14.7771
72,670
TOTAL FUNDS
14.7771
Net mov¢ment in fund4 included irt the above art as follows..
Incoming
resources
ResouTees
expended
Movement
in fvnds
Unrestricted fynds
Qeneral fund
247.027
1261,804)
(14,7771
TOTAL FUNDS
247.027
261.8041
14.777)
Comparatives for movement in funds
N¢t
movement
in fund$
At 1.4.22
At 31.3.23
Unrestricted futtd5
General fund
I28.￿9
141,382)
87.447
TOTAL FUM)S
128,829
41382)
87,447
Page 7
continued...

London Ti
ers Limited
Nolcs lo the Fin￿1¢￿&1 Sta
ements- conti
for Iheyear Ended 31 March 2024
ed
io.
MOVEMENT IN FUNDS- continued
Comparative net mOv¢￿tAt in fi￿d5, included in the above ar¢ 4$ follow5=
Incoming
iesvurces
Rtsource5
expended
Movement
iii funds
Unre5tritÉed fund5
General fund
197,703
{239.0851
141,3821
TOTAL FUNDS
197.703
239,0851
1413821
A ctsrrentyear l2 months and ptior year 12 montbs combined posltion is os follows..
Net
movern¢nt
in fiinds
At 1.4.22
At 31.3.24
Unrestricted funds
General hnd
128,829
{56,1591
72.670
TOTAL FUNDS
128.829
56 159)
72,670
A current year 12 months and PTiOT year l2 months combined movement in futtd& included in the above tsre as follows..
Mov¢inent
in funds
Incoming
resources
Resourc¢5
txp¢nd¢d
Unrestricted funds
General fiind
444.730
(500,889)
156,159)
TOTAL FUNDS
444,730
500 8891
56.1591
ii.
RELATKD PARTY DISCLOSURES
Ther¢ wtte no rclat¢d paty transactions for th¢ yearended 31 M8rch 2024.
Page 8

London Ti
ers Liinited
Detailed Statement of Finantial Activities
for the Year Ended
l March 2024
31.3.24
31.3.23
INCOME AND ENDOWMENTS
DollAtions And lega¢ies
Grants & Funding
Mttnbership & Subscriptions
63,750
18,578
42,336
20.450
82,328
62.786
Charitsble ActLVLties
FundrAising
152,749
10,138
OtILer *rading actiyitits
Fundrassing Events
TotAI irteoming resources
247,027
197.703
EXPENDITURE
Support costs
ManAgement
Telephone
Offi¢4 Fostage and Stationery
Publicity & Markcling
Repair5 & Maintenance
Cle8ning & Refusc collectiotl
485
1.735
627
24,982
454
1,102
865
30,879
8.814
39.433
42,114
Finllnc
OITicc Rent
Water Rates
fnsurance
Light and Heat
Bank charge6
Card Solution ChaTges
Activity I Programme delivery
12,917
1,149
3,795
18.991
50
722
53.039
4.698
834
3.869
12.381
1,279
90,663
68.041
Governance c(k5ts
Staffing & Coaching costs
Pensions
Manag¢tDent & consultancy
Accountanty and Legal fees
Profession￿ fees
Fixtsr¢5 and filtings
97,144
739
30,000
1.224
1.932
669
93.890
473
30,0(M)
1.596
2,183
788
131.708
128 930
Total r¢50urtes expended
261.804
239 085
expenditure
14 7771
Thi5 pag¢ do¢$ not forni part of the statutory financial statements
Page 9