Charlty Reglstratlon No. 1176669
Company Reglstralion No. CE0129231England and Wales)
FRIENDS OF THE TENTH
UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JANUARY 2025
SOMERBYS LIMITED
CHARTERED ACCOUNTANTS
30 NELSON STREET
LEICESTER
LE17BA

FRIENDS OF THE TEKfH
CONTENTS
Pag8
Infomiation
Report of the Board ofTwslees
Independenl Examiners Rewt
Statement of Finanaal Activities
Balance Sheet
Notes to the Financial Ststements
Detailed Statement of Financial Adiviti88

FRIENDS OF THE TETr￿H
INFORMATION
FOR THE YEAR ENDED 31 JANUARY 2025
REFERENCE AND ADMINISTRATIVE DEfAILS
R•gistered Company number
CE012923 IEngland and Wales)
Registered Charlty numbor
1176669
Regbtered offlce
Hemploe View
TheBe
South Kihvorth
Lutterworth
Leicestershire
LE17 6DX
Trustees
A J Wilson (Chair)
Mr3 J Holland
T F S Halkwlson
G S Warner
Independent Examlner
A M West FCA
Somerbys Limrtwj
30 Nelson Street
Leioster
LE17BA

FRIENDS OF THETEP¥TrI
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JAI•JARY 2025
•￿1 I￿1r rapryt ar￿ fr￿￿1•1 •10t¢M￿ cf the (thaity tr the yeai 31 J?￿lAry 21f2S. Tha
aJKI Reptyllr#J by Chan'l*s" In rKopoiirB the annugl report and Ststerr￿ ofth8 ct*lty.
ObJo¢tlvM •nd ￿rne
Fwiw￿8 ofthe TMtK8 mth oty&*¥e l¥ to y)od clbzenshlp am(W the publlc grKI to prml•
tne efflcw of the Orn￿d of the ty provktlry arrfl moir4wwfj 8 mornoMI
rmmt*rn those ivho losl trrttr or 8uffaraO wlws injtmy or wt themselvej at risk of1088 of Ilfv
r* duhng In th8 8wvl¢• ￿ the duAW ￿trtd W¥ 2.
To •Yvanc••lu¢allontrth8 puwlc inihe histtyy. doéds aTh1 traditiry￿ ofBTlti8h 81rb0m8for￿,
In pwtioJl8r 1P Baltth The Parathute R¢glment, ind￿lM9 by a PUt4k V**b81kn corrtalning
Inhyrrotw and ed￿all0Th￿l wi6ii8 to bgtttefield$, niuawm8 aThJ mon￿an13.
The rhyrk ofts rlwity TnJ8t lulty refiqcts th• that the was wl ￿ to I￿.
•il•J to ￿MeMOr81P the th* USA4F 31V Troop Grthy.
Publk b•n•fft
Commissm's gen￿￿ yj8rKé ffi publk benefft reviewing th• ￿•b￿r￿j
Inve•tm•nt polky And obJ•ctl¥•s
and at ts poslj'on at lh& yeor e￿1.
Res•N•s pollcy
rt * the fv ofthe Il¥t •ll fimd8 rncelved are used in furtI￿ra￿e ofttw cWNes. tt
Is nol the intention lo ￿lId up a signfficant roseTh*e offurrtls. The charity that all wpJ1unh'o1
to FwJvide a8%Stanc• in h'ne *ilh rt8 aim# are carth4ty 868856ed afbd evoluabj to Ihe fund6
* its tsp0801.
STRUCTURE GOVERNAIKE AND IAANAGEIAEprr
Gov•mlng document
Iwnited ty guw8ntoe, a5 defined by the Crynpgnw Act 2006.
The trustees we lekn(￿d ftjr Iheir experlence. sklll8 ar•d contacts in a variety of 8r&85. lo
8KQWt new tr￿le8$ lias ￿ the 8(wd of Trustees.
f)owd of trusiees (m 15 WI 2025 and ￿gned on its beh*l by:
A J Imlgon

FRIENDS OF THE TEKfH
INDEPENDENT AUDITOR'S REPORT
TO THE MEMBERS OF FRIENDS OF THE TENTH
I reportto the trustees cffl my examination ofthe finanGial statements of Friends ofthe Tenth Ith8 charity)
for the year ended 31 January 2025.
Responslbllttles and ￿*15 of rnport
As the trustees of the ch8rty land al$0 ib directors for the purposes of company lawl you are
responsible for the preparation of the financial statement5 in accordance with the requirements of the
Companigs Art 2006 Ilhe 2006 Acti.
Having satisfied myself that the flnancial slatemenls of the charity are Tr)t required lo be audited under
Part 16 of the 201￿ Act and are eligible for independent examin*ion. I report in r8speet of my
examination ofthe charity's financial statements carr￿d out under section 145 ofthe Charities Act 2011
(the 2011 Act). In Garrying out my oxaminalion I have followed 811 the applicable DirectK•ns given by the
Charity Cc¥nmIss￿n under secth?n 14515llbl of the 2011 Aet.
Independent examlnerfs statement
I have completed my exJnination. I confirn that no matters have come to my attontion in connection
wrth the examinatK)n giving m& cause to b8lhgve that in any mater￿1 respect..
counting records were not kept in respect of the ¢harty as required by seclpjn 386 of the 2006
the financial slalemenls do not accord with those records: or
the financial statements do not Comply with the applicable requirements concerning th8 form the
conlenl of accounts $et out in the Charities (Accounts and Reports) Regulatitsns other than any
rgquirement that the accounts give a true and fair view ￿[Ch 15 rs01 a matter considered as part of
an independent examination.
I have no concems and have come acros5 no other matters in connection wrth the examination lo which
attgnlion should be drawn in this report in order to enable 8 proper understanding of the financial
statements to be reached.
AL
A￿X West FCA
Chartered Accountsnl
30 Nelson Str88t
Leuster
LE17BA
Dated. l& Af.

FRIENDS OF THE TEIfftI
STATEMENT OF FINANCIAL ACTMTIES
YEAR ENDED 31 JANUARY 2025
Current financial y•ar
un￿$￿¥¢(ed
fund
2025
Total
funds
2025
fund
2025
Not•8
InGomg and eDdowm•nts from
Donations and leg&res
Other trading actwities
VAT
22,725
44.215
618
22.725
44.215
616
67.556
67.556
Expondtture
Raising funds
Charitabl• xllvltl
Charitable
42,939
42,939
5,008
5,IJ08
47,947
47,947
T¢)tal
Surplus of Incom8 ov•r
expendltu
Total funds brought forward
19,609
19,609
35,592
35,592
Totsl fvnds carrled forward
55,201
55,201

FRIENDS OF THE TEpifH
STATEMENT OF FINANCIAL ACTMTIES
YEAR ENDED 31 JANUARY 2026
Previous financlal year
Unrnstrlct8d
fund
2024
R05tri¢ted
fund
2024
Total
funds
2024
Nofes
Income •nd End0wm￿ts fmm
Donations and leg8¢ieS
Othertrading aclivibes
12,943
9,963
12.943
9.%3
22.906
22,9f
Raising funds
Charftable activiti•s
Cha17table
12,026
12,026
3,￿6
3.006
15,032
15.032
ro¢01
Surplus of incom• ov•r
•xpwJditurn
Total funds brought fotward
7.874
7.874
27,718
27,718
Totsl funds carrfgd fornard
35,592
35,592

FRIENC4 OF THE TEtmi
BALANCE STrEEr
AT 31 JANUARY 2025
2025
CuTh•nt *••¢ts
14.255
1,210
14.255
1210
40.548
5,051
1.030
28221
Cgsh at barth
$6.011
56.011
402
$6,011
56,011
38,402
Curr•nt Il•bUIII•J
1810)
{810)
(810)
55,201
$52
36.592
Fwnd•
$5201
55201
35A92
Totsl funds
55201
55201.
Thè chwitable c(*npany is enlitled Io 8xwnpkn frcTh aMIIt Sectkn 477 of the CompaniM Acl
2￿8 tr the yoar erthd 31 January 2025.
Tho m¢mbers I￿0 r￿1 requked IM company to rJbt8n• oudllof its ffftanci81 statwn•nts fcf the pwknd
vAthd 31 2025 wi ￿C￿lanCe whh Soctlon 476 of the Cthnp￿los Act 2006
ai ￿Suring that th6 ch8TilabJe company keeps accourth 1•c￿lA IhBt comply 386
387 Oltho Ccrfnpari￿ Act 2006 aThJ
b) wepwbry 8tsternenl whith gfve 8 and falr stale of 8ffaYs ol Ihe
tt*ritable C4)mp￿Y 88 at the end of fina￿6•1 yw 8nd ol its 6wpIus Of defH)'t fof
fr￿)￿81 yoar In f*cord￿vAlh the requirements rJS¢dton 394 and 395 ar¥J *thich olherwts
c¢xnply v*lh Vw wiuirements of ￿ Compgnies Acl 2CTh reEating to fina￿￿1 Staiements. so
far as op￿1¢able to Ihe ctArbtablo cr￿￿￿.
The fina￿*81 statements ha¥e b8en Pfepared In a¢cofdm with ￿￿10n8 applicat40 lo char*dAti
¢L¥np8nlo5 wt4e¢t to the smdl ¢4)mpanies' re9ime.
tho Boord 01Tr￿lee9 ryt 15 ￿1 2025 and sigrnd
tsbewty.
A J WI18￿ (TnJth6)

FRIENDS OF THE TEfrm4
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JANUARY 2025
ACCOUNTING POUCIES
Basls of preparlng thg financial ststements
The accounts have been prepared in accordance with the charty's goveming document, the
Companies A¢t 2006 and 'Accounting and Reporting by Charilies,. Slalemenl of R￿0MMended
PractKe applicable to Charities preparing their accounts in accordance with the Financial Reporting
Standard appIl￿ble in the UK and Republic of Ireland IFRS 1021 as amended for accounting peiiods
commencing from 1 January 2016. The charity is a Public Benefrt Entsty a$ defined by FRS 102.
The financial statements have beerb prepared underlhe hislorical cost conventbjn.
The signffi¢ant &counting Oicigs appled in the preparation of thes8 financial statements ale sot
out below. These policies have been c¢)nSist￿tty applied lo all yeats presented unless otherwise
stated.
Income
All inccme 18 rttognised in the Statem8nl of Financial Actiwties once the charity has entitlement to
the fund$. it f4 probable that the In￿Me will be received and the amount can be measurgd reliabty-
Expenditur•
Liabiliiies are reeognised as expenditure as soon and there is a legal or constrLKtive obllgalion
committing the charty lo Ihol axpendilure. it is probable that a Iransfer of econom￿ benth will bo
requlred In settlement and tho amount of the obligation can be measured rgliably. Expendf(ure is
aG¢punld for on an accruals basis and has be8n classffied under heading that aggregate all Cost
r8la18d to the category. Where costs cannot be directly attributed lo particular headings they have
been aNocated to activitie8 on a basis consislenl with the use of resources.
Slocks
Stocks are valued at the lower of eost and nel realisable value, aft8r making due all¢)wance for
obsolete and slow moving itams.
Taxatlon
The Ch￿rtY is exempl from corporation lax on its charrtable actwitie5.
Fund accounllng
Unrestricted funds can be used in a¢¢ordance with the charit8ble objfjctiV8s at the discretion of the
trustees.
Restrictèl funds can b& used for particular restr￿ted purpose8 with tho objects of the eharty.
Restricttons arise when specrfied by tho donoi or when funds a￿ ralsed fc* particular restricted
purposed.
Further eXplanat￿n of the natu￿ and purpose of each fund is includ8d in the notes lo the ffinancial
slalements.
OTHER TRADING ACTMTIES
2025
2024
Sales
44.215
9,963
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees., remuneration or other benefits for the year ended 31 January 2025.
Tru$tèo3' oxponwo
There were no trustees, expenses paid for the year ended 31 January 2025.

FRIENDS OF THE TEFifH
NOTES TO THE FINANCIAL STATEMENfs (CONTINUED)
FOR THE YEAR ENDED 31 JANUARY 2025
41 DONATED ASSErs
2025
2024
Painting
1.500
S. STOCKS
2025
2024
stocks
14.255
5,651
IVEMENT IN FUNDS
At
1 Fobruary
2024
In¢omlng
r•sources
Rosourcos
•xp?ndgd
At31
January
202S
Current financial year
Unre8tr1cted funds
General fund
35,592
67.556
{47,94n
55,201
Total funds
35,592
87,556
(47.947)
55,201
At
1 February
2023
Incoming
rnsourc•s
Resources
ex￿nded
At31
January
2024
Prev￿7￿8 financial ye¥
Unrestricted funds
General fijnd
27.718
22.906
115,3021
35.592
Total funds
27,718
22.906
115.302)
35,592
RELATED PARTY DISCLOSURES
The Trustses has ¢ommissioned a b(Nak call8d"Arnhem.' Eight Days to Oblivion. in orderto advance
education for the public benefit. A Iwslee, Mr Grahame Warner. was commissioned by the Trustees
to author tha book. The Charty is benefrting from sales of the book. All proceeds from boc& sa19S
pass to Friends of the Tenth.
Th6 Iruslees of th& Charty have waived all TV, Film and Media rights. so that Mr G Wamer will
benefrt from these in their entirely.
e all conflicts of inleresl have been declared and it should b& noted that Mr G Warr￿r did not
participate in any decision making in reswl of the contract or in respocl of setting thg terms and
Conditions of the contract.

FRIENDS OF THE TENfH
DETAILED STATEMEKf OF FINANICAL ACTIVITIES
FOR THE YEAR ENDED 31 JANUARY 2026
Note
31 January
2025
31 January
2024
INCOME AND END0WMEP￿s
Donallons and l•gaclo5
Donations
22,725
12,943
Olh•r tradlng actSvltloS
Sales
VAT
44.215
616
9.963
Total incoming rnsources
67,5
EXPENDITURE
RalsSng donatlons and legacies
Insurance
Donation charges
Merchondise
Printing, p¢)Stage and stalK)nery
Accountancy
other costs
Filmlbook expendiiure
Office costs
Inlemot costs
687
827
4,197
6.675
858
4,524
22,C64
357
2,750
293
6,222
1,461
810
1,11XI
97
1,598
42.939
12,026
Charitable actlvltl
Artk8tl$culplure costsllandscaping costs
Donation
4,508
500
626
2,380
5,008
Totsl rosourc•s expend•d
47.947
15.032
Surplus of Income overexpendlturo
19.609
7,874