REGISTERED COMPANY NUMBER: CE017931 {EnKland #ud Wale51
REGISTERED CHARITY NUMBER: 11841HS
Report of th¢ Trustee5 and
Unaudlted FlngntlAI Statements for the Year Ended 31 Ottober 2025
for
Tourette5.Syndrome, lTrtlusion lft the
Community (r.I.ci
HBtTiS Lacey ond Swain
Suiie I
The River%ide Building
Hessle
Easi York5hir¢
HU13 ODZ

TDurettes-Syndrom< In¢lusion in the
CommuDlty IT.I.C)
Contents orth¢ Finlneial Staternents
for ihe Y¢#r Ended 31 October 2025
Page
Rep)rt ofthe Trust¢¢s
Ind¢p¢ndent Examiner's Report
StAtement of Fin*Dti21 Activiti
Balante Sheet
Notu to tlte Fin8nci#l Stat¢ments
10 to 16
Detailed StatemeDt of Ftllgncial ActLVIti

Tourettes-syttdrome, In¢lusÉon in the
Commurti(y IT.I.C)
Report of the Trustees
for the Yexr Ended 31 October 2025
Th¢ Irusiee5 who are also directors of the chariry foT the pur[M￿S of the Companies Act ?006. present Ih¢iF r¢port with
the financial statements of the chariry, for the ended 31 OciobeT 202). The trusiees have adopted the provisions otr
Aecouniing and Keportino
by Charities.. Siaiement of Recominended Pr8Cttce applic8ble 10 ¢haririe5 preparing their
accounts in accordance with the Financial Reporting Siandard applicable in the UK and Eiepublic of IT¢land IFRS 10?)
(effective l January 20191.
Tour¢ttes-5yfLdrome IncI￿lOn in ttle Community ITICI 15 2 ehaTi(y fomied Én October 2018 to support thos¢ affecied by
the Neurological disorder kno￿￿ as Gilles de la Totsrette S)￿dIOme. The charity was regisleT￿l in Jurte 2019 and is
ba5¢d In HUIS, Easi Riding of York"shire.
Toureues-syndrome Inclusion in the CommuThity (T.l.C.l is the only ¢haTity bas¢d in YtsTkshire Ihai suppjrts people
affected by the disorder.
OWECTIV£S AND AcfiviTIES
Objectives #nd xim$
"Tourelles Syndrome" is defined as an irtherited disorder of rhe nervous SYS￿￿. ¢haracLerized by a variable expr￿s1On
of unwanicd movements and noises Iticsl.
The chatity airns io ¥aisc awareness and proFnote Social inclusion of people afkcied by Tour¢iies Syndrofne and Ti¢
disordeTS, who Jre socially excluded from 50¢Lety, or parts of society, a5 1 r¢suli oftheii medical ¢ondit>on.
CreaLtiI8 safe spaces thai support inclusion and in turn proffloie posiiive mental h¢alth and self ai¥areness is key.
Like mosi small ¢hariiic5, TIC wa5 bom from stn1￿(VIlftg parents coming tog¢theT With the ideology of crcatin¥ 8 better
world for (heir Ehildren.
In 2013, after receiving a diagnosis of Toureiie's Syiidrorne for h¢T Ihen 6-year-old ¢hild, and a need for more
informaiion. Kim attended d local support group Finding it helpful hearing other people's stories. 51ie became a rtgular
and within the year found herself facilitaiino lh¢ groups. The sroup was held every ) Inonths and was fairly 5Tll211 due to
not being advert15ed anywhere at th8L timc. The menth¢rs jusi filtEred through from the naiional charity and a need for
closeT work dn(l Tnore i¢gular iUPPOrt was Tccognised.
Kim also found, when explaining her child had Tourette's to others outside the ￿tsUp, she was often met wirh comments
sueh as 'he doesD'I swear" and very little undersranding on the ¢ortdiiion. One day ivhilsl out with her son. Kim
experien¢ed an incideni that has staycd wilh her ever sinie and inade her deride to fight this head on.
Kim reached out io the local paper 10 help spread awaren¢$s of Ihe condiiion aAd after the paper went IQ PTIDt more
familie5 began to attend th¢ meetings. where She met mei Bev in 2014 and they becatne much Needed 5UPPOrt for each
other. Beween 2016 and 2018 more and mort families came ihrough the doors feeli￿* frustrated and lost doe io th¢ lack
of 5UPPOrt and under51andin8 boih by Ihe medical prof¢ssiona15 2nd within schooL%.
From here Kim and Bev attended training from multiple sources aftd aft¢r pttttiTrg ¢verythin(p together thai they had
lejrnc they developed a 5rhool ialk thai Ihey feli strongly about. Taking il 8 step fvrther they gathered a group of
volunteers tO8ethcT lo becoTh¢ trusiees and s¢t vp Toure¢tes-syndrome, Inclusion in the Comtnunity ITICI as a charity.
Pwge I

Tourette5-SyndTom¢, lll¢lusioth in the
Community (T.l.C)
Roport of the Trustets
ror th¢ Ye*r Ended 31 October 2025
OBJEUIVES AND ACTIVITIES
Signintant kctivitie5
The Charities main aciivitie5 include bll¢ are noi limited 10 a number of youth gTOUPS, aduli peer 5UPPOrt gTOUP$ and
raising awareness through workshops. training sessions and school and community ¢nga&ement.
Tjiis is covered by the following"
Ruiuiiiis yuywit ¥ivuy) tlia¢ ¢¢iabl¢ fcllowship for iDdividullI3 and th¢ir ￿￿￿1￿¢3.
Running a Facebook support LTroup thai enables fcllowship for individual$ and rheir families.
Deliverin<r awarcnes5 talks to schools, businesses aTrd third 5e¢tor organisations.
Providing advocacy beiween f2milies and Schools + adults and employment.
Providing advi¢¢ and support for people livin￿ ￿th Tourettes Syndroine or seeking diagnosis.
We alway5 aim to seek input from our mcrnber5 ro assist us in delivering the activiiie5 that ihty ft¢l arc need¢d. Our aim
alway5 being to offerthe 5UPPOrt that is needed fftosi.
We are ￿tteful for the many hours volunteeTS have spent listenino and encouraging our tnembers as lyell as worksno
with the team. Without this valuable contribution of tiTne. energy and expertise we would not have becn able 10 achieve
so much.
ACHIEVEMF.NTS AND PERFORMANCE
Charitable a¢tlvt¢ies
Youth groups
Throughout 2025. our youih oroup5 have steadily incre&sed in meinbers, with plwning and activities having to be
adapted 10 rneei ihe individual needs of those attending. Wt a150 Saw a rise in referrals, comin8 in from schools. doct0¥5
and early help praclioners.
Schools
TIC has visited schools across the reoion and tnade over 5.000 children TIC Friends. helping 10 spread undersianding,
a¢¢ept)nce znd awarenes5 of Tour¢Ei¢ Syndrome and neurodiver5lty.
Atttvities
For the third year running ive h2v¢ enjo)'ed another 5ucce5sful Awareness Month. and. incredibl). this year wc h4￿r
raised more through fundrai51ng thaji tver befoit. This has h¢lped really hee our paTent5 fortn slrong bonds and work
iogclher for the benefit tsf TIC. In addiiion to Ihe Awareness Month, we h051cd OUT very first TIC Camp, creaiing
meillorics. friettdship$ attd laughter that will stay with Tnany of us tor years to com¢.
Monthly groups
As a charity we hos1 the Hull monthly group. Whe￿ everyone is welcome to aittnd for advice. friendship ¢onDections
and peer 5UPPOrt. Our Doncasier group has gon¢ intts its seeond year and is a150 thriving offeri￿g the same Support, and
becoming a regular and reliable sUPPOrt network foT those in ihai area loo.
2025 hts seen us expand into Cleeihory)es and although this gTOttP is new ind slowly 51artin8 up. wc are now abl¢ to
pport lafflilies a¢ross the Grimsby and North Lin¢olnshTre area, with the plan for li to orow as well ar¢ ow other
groups have.
Adult services
TIC has continued to off¢L' regulat activities for 8dult5 livino with ries and Tourettes too. Although not cunently our
main focu5 we are passionate developitlg ItLi$ area as the chariry grows io reach a wider audience.
Page 2

TouretttS-Syndrom< Inclusion in the
Community IT.I.C)
Rtport of the Trustee5
for the Year Ended 31 Oetober 2025
FINANCIAL REVIEW
Financial posrtion
The financial position of the charity at i l O¢tokr 202). cart be summarised as follows...
Nei Income I (Lossl
Funds of tht Charity
Unrestricted r¢5er¥es
Designated re5eryes
24,294
12,642
Total Unrutricted Funds
36,9)6
R¢$tricLed Funds
12.054
Toial Fuiitl$
48.990
The trustees cottsider the financial perfonnance by the charity during the year lo have been satislatiory. Incoinin¥ fijnd
have increascd Si￿lfI¢3ntIY on the prior year, due io a ureai b0051 in corporate donations. fvndraisina and additional
gr&nls secured. ExpendiiuTe inereased from Ihc PTior year. but at a much smaller rate meaning after all accounting
adjusltnents such as defetred income, there was a net surplus of £18.931 and reserves have been improvcd.
More details can be found on page5 7 8.
Principal funding 50urets
Our main sourcc of fijnds thi5 year has been gran15 and (k)nations. The grants whtch were made up of National Lollery
Community Fund #nd Awards For All. are u5¢d to subsidtse oeneral activities 8nd runniTtu of the ¢lwDty. whilsi 211
fundrdising is used for addittonal resources and activilie¥ nor covered within our grants.
We also received an additional grant from the P051code Lottery. which had no restriciions on bui we have deemed
designated for the salary of #n additional member of 51aff and r¢RI Inflation.
Reserves policy
TIC aims to hold 6 months &veraoe eX￿nditUre in reserves. io ensure the continuaiioTr of th¢ charity, should (here be a
sigttificznt downturn incom¢ re¢ited. The requircd minimum rescr￿$ for the chariry is £25.000, which covers
ov¢rheads of th¢ buildin
for up to 6 months.
AveTage expenditure for 6 monihs 15 £40,)27 {2024.. £34,297). Th¢ arnounl of reserv¢$ h¢ld * the year ethd is £48.993
12024.. £20,059) of whsch £36.936 {2024.. £8,914) are frce Te5erves and not re51ri¢ted.
11 15 dcknowl¢dtr¢d thai al¢hough the charities curreni fre¢ reserves És noi below the minimwn required, it is below the
averng¢ 6 monihly expendiiure to en5ur¢ th¢ tontirtllalion of the chaTity, which they are aware of and working on to
iniprtsve. Th¢ p)SLtion has signific4Lntly iinpmved on the prioryear, having only a £J,J92 shon¥o¢, compared 10 £25.383
ai the end of the 2024 financial year.
The 2025 financial year WLS Ihe first year th¢ charity carried out ￿ndraIsin&T events, which they aim ro continue
building on and growin& to bring a sieady source of income info the ¢haTiry the fi]ture.
Throiighoui the 7026 financial vear. they plaTr lo apply for grattis ¢ontinually io maintaiti the sustainable f￿ancial
position of tht charity and build the reserve5 up furtheT. In addiiion. TIC has looked lo deversify their income sir¢aTllS in
th¢ n¢w y¢aT. by building on the ftsndraising but a150 merneb¢rships a*)d corpordie dollalions, to ensure security.

Tour¢ttr$-Syndrom< Intlu5ion in the
Cotttmunity cr.I.ci
Report of th¢ Trys¢ees
for the Year Ended 31 October 2025
FUTURE PLANS
TIC plans to continue the monihly support groups in Hull and Doncatser bringing in new members and prowding
suppori to existing rtwmbers %¥ithin the 5UPPOrt groups.
We are aiming for all of our S¢Tvices to contin￿¢ with the gr0￿h and devclopmcn¢ we have scen in the last Nv¢lve
month5 and as the need for training In schools and workploces grows, the ¢haiiiy plans ro expand ils ￿Ik$ t(p schools
wiihin YoTkshlre and acrosi LinLvliibh21f.
STRucfuRE, COVERNANCE AIYD MANAGEMENT
Governing document
The charity is ¢onttolled by lis gov¢rning documcni, a deed of tnisE, and con5titutt5 a limited company. lirnii¢d by
guarantee, as d¢fin¢d by rhe Lompanies Act 2006.
TouTet(tS-5yndrome Inclusion in the Community {T.l.C l is a charitsble In¢orporared Organisation (CIO) with a
foui?dation Siiucture. whose only voiing members are its truswes.
Charity C0115tltution
The board of i¥ustees art a group of volunteers who have a shared inieresi in supporting the charity. Each trllsiee brin¥5
their own se¢ of skills.
Trustees can bc vot¢d in ai any lime and ¢an serve on the board for as loog as they wish. Thc Toles olthe tTU5tees rcfftain
the same unle55 SOtn¢one sieps down.
Recruitment #rtd Appointment of new trustees
Trustees are ¢lected b> a rnajority of ihe member5 entltled to vore. On electTron tnjstees have an induttion proce5$ 10
ensure tho1 they understand both the nawre of the appoinimenf and gov¢rsJance ot.the organ15atson.
Def isi0￿ maktng
The board maintain$ an overview of the finances and are requir¢d to declarc ￿lY confli¢is of interest and to consider the
risk register annually.
Day to dlly mana¥rm¢n( ofui¢ ¢lMI ity is dtlegated to the CEO Kim Mitch¢ll.
The charity follow5 various oth¢r policie5.'
Safeguarding Children
Equaliry Diversity and Inclusion
Da¢a Protection
- Healih and Safety
Fundraising
- Code of Condtjct
Work Experience
Lone WoTkinJtr
Volunieer and Employmeni
REFERENCE AND ADMINISTRATIVE DETAILS
ReKi5t¢r¢d Companv nutTrb¢r
LEO17931 (Enirland and Wal¢s)
Reglstered Charlty number
1184015
Page 4

Tourettes-SyDdrome, Inclusion in the
Community IT.LCI
Report of the Trustees
for the Ytar Ended 31 Oetober 2025
Registered office
Tngs Resource Centre
Savoy Road
Hull
Ea51 Yorkshire
HU8 OTX
Trusttes
Miss K Okr&
G Walker
M Malli (resigned JO.1 1 ?41
G Jackson (resigncd 30.6.251
MK8y
Ms G Harte (appointed 29.11.251
Nls E Kirby lappoinled ? J.7.251
D Wriuht lappointed 7.7.251
lThdeptndent Examiner
Harris Lacey and Swain
Suite I
The Riverside Building
Hessle
Easi Yorkshire
HU13 ODZ
Banktrs
Lloyds
Chelmsford Legg Street
l Letso Street
Chelmsford
Essex
CMI IJS
Approved by order of ihe board of Iruste¢s <pfft .... ...
. and signed on (ts behallby..
R Dagoer- Tr
Page S

IDdepeAdent Ex¥mln¢r's R¢port to the Trust¢¢5 01
Tourette5-Syndromt. IntlusioR in the
Communitv IT.I.C)
Independent tximintr's report to tht trustees of Tourette5-Syndromt, lThtlu5ion in the CommuDiry IT.I.C} I'th¢
Comp8ny'l
I report to the charity fTUStee5 on my examination of ihe accounts of Ihe Company for the year ended 31 October ?0?5.
RtSPOAsibilitie$ aDd bosis of report
As the charity's ITUStees of the Cornpany (and also its dircciors for th¢ purposes of company lawl you are responsible for
the pr¢paratton of the accounis in atcoidance wilh ihc rcquiFer5JeNts f>f the Companies Act ?006 {'the ?006 Act'l.
Having satislitd mv5¢11 that the account5 Ot ttse Lompany are noi rtqlllT¢d 10 be audlied under Part lfj of the 2(NIO Ait
and are eligible foT ind¢pertderti examination, I reporr io respeci of my examinaiion of your charity's aetounts as carried
out under Section 145 of the Charities Aci ?01 I I'the 201 l Aci'l. In rarryiDg out my txarnination I have followed Ihc
Direciion5 given by the Charity CoTnmissioD under SLciion 145(51 Ibl of the ?0 I l Act.
Independent ex&min¢r's statemenl
I have ¢ompleted Iny exarninaiion. l eonfjrni that no matt¢r5 have come to my attention ID connecti¢)n with the
examination giving Tne cause to believe".
ac¢ountints r¢cords were noi kLpi In respeet of the Company as required by Section 386 of the ?006 Act: or
the accounts do not accord with tho>5¢ records., or
the accounts do noL comply with Ihe ac¢ouniing requiremenls of Seciion 396 of the 2006 A¢t other Ihan any
Tcquiremeni that the accounts give a Mie and fair vÈew whi¢h is not È mailer con5ider¢d as part of an independcnl
exartLiDarion; or
the atcwnts have not b¢en prepared th accord3n¢e with the methods and principles of Ihe Staiemcnl of
Recommendcd Practice foT accotJntinr* and Teporting by th8rities (applicable to charities Preparin￿ iheii a¢¢<punis
in accordance with th¢ Financial Reporting Star￿2rd applicable in Ihe UK and Republie of Ireland IFRS 10211.
I have no ¢onccTll5 and have comc across no other matter5 in connection with the examinaiion to whirh attertiion should
be drawn in thi5 report in order 10 enable # proper under5thndinx of the accounts lo be ￿ached.
Harris tAcey and Swain
The KiveTside Building
Hessle
E4st yo￿Shire
HU13 ODZ
Dale..
Page 6

Touretie5-Syndrome, Inclusiots In ¢h¢
Commvftity IT.I.CI
Statement of Financial Activitir
lor the Year Ended 31 Oclober 2025
Period
29.10.23
Year Ended
31.10.25
Tolal
funds
31.10.?4
Total
fijnds
Unre$tr&cted
funds
Restricted
fund5
No￿$
INCOME AND ENDOWMENTS FROiV
Dottations and leaaci¢s
12.oli
1?,013
8,291
Chxritoble gctivities
Charitable
23,654
69,251
92,905
45,070
Oiher tradin8 a¢¢iviti¢s
4,668
4.668
Tot81
40,335
69.251
109,586
54,56Q
EXPENDITURE ON
Charitable activities
ChaTlt8ble
17.686
62.969
8Q.655
68,595
NET INCOMEIIEXPENDITUREI
Tr#n$ftrs between funds
22.649
5,372
6,282
{5.37?)
{14,0351
10
Net movement in funds
28.021
910
28,931
{14.0351
RECONCILIATION OF FUNDS
Tot&l fwids bro￿8ht fO￿ard
8.914
11,145
20.L159
TOTAL FUNDS CARRIED FORWARD
36.935
1?,05)
48,990
The notes form part tsf these financial stsrements
Page 7

Toyr¢ttes-Syndrome, In¢lMSlOlI Ill the
Communtty IT.I.CI
B21ance Shett
31 October 2025
2025
Total
ds
20?4
Total
fiJnd5
Unreslricted
fijnds
R¢stri¢i¢d
funds
FIXED ASSETS
Tangible as5els
627
148
775
1.076
CURRENT ASSETS
D¢biors
Cash Ji bank
134
J7.101
134
74.781
4122
45.245
37.680
37,680
74,915
45.667
CREDtTOIL8
Amounrs falling due within ont year
(25,3291
{26,7001
120.6841
NET CURRENT ASSETS
36,309
11.906
48.?15
18,983
TOTAL ASSETS LE￿ CURRENT
LIABILITIES
36,936
12.054
48,990
NET ASSETS
36,936
12.054
48,990
20,059
FUNDS
Ullffstricied ￿ndS
Rcsiricted fund5
10
36.936
12,054
8,914
TOTAL FUNDS
48.990
20.059
Th¢ ch*ritoble company is eniitled lo excmption from audit under Section 477 of the Companies Aci ?OD6 for the year
ended 31 O¢tob¢r 2025.
The memb¢r5 have Tequired the company lo obiain an oudii of its financial stalefftents for the yea* cnded
31 October 2025 in accoidanee wtth Section 476 of the Companies Aci ?006.
The trustees acknowledge theii" respon51bilities for
lal
ensuring tliat th¢ chariiable company keeps accounting r¢cords thai comply Wlth Seclions J86 and )87 Of the
Companies Act ?006 and
preparing financial sthiements which give a irue and fair view of the Mate of affairs of the Charitable company Is
at the end of each financial year of ils surplus or deficii for ¢a¢h fintsnci21 year in accoi'daiice with the
requirements of SeLtions 394 and i95 and whith otherwtse compl> wilh (hc r¢quir¢menE5 of the Cumpani¢s AEt
2006 Telaiing 10 ftnancial slatetnen15. $0 far as applicable 10 th¢ ¢hariiable compatsy.
Ibl
The no￿ fomj part of these fmat)cial statemertts
¢onlinued...

Tourettes-syndrome, Inclusio￿ in the
Community (T.l.C)
Bglanct Sheet- ¢ontiRued
31 Ottobtr 2025
These fjnancial statements have been prepared in accordance with the provisions appli¢abl¢ to charitable companie5
subjeci lo th¢ small compani¢5 regime.
The fina
t2tements were approved by the B¢Mrd of TnLSLees and au(horised for issue on
and were signed on its behalf by.
R Da￿￿et.
The note$ fomi part of Ihese financial statetneots
Page 9

Tour¢t¢es-Syndrome. lllclusion in the
Community IT.I.C)
Notes to the FinaDcial Statements
ror th¢ Year EDded 31 October 2025
ACCOUNTING POLICIES
Basis of preparing the fihAntial 5tst¢ments
The financial slat¢tn¢nts tsf the charirablc company. which ths a public benefit entity utLd¢r FRS 102, have been
prepared in accordan¢¢ with the Chartties SORP IFRS 1021'Account¢no and Reportints by Chariti¢$ Statement
of Recommended Practice applicable to ch&ritie5 preporin_£ Their accoun(s in a¢rordance with the Finan¢ial
Reporting Srandard applicabl¢ in th¢ UK anit Republic of Ireland IFRS 1021 {effective l January 20191,,
Financial Reporting Standard 10? The Finantial Reporting Standard applicable in the UK and R¢publi¢ of
Ireland, and the Companies A¢t 2006. The financial statements have been prepared under the historical COSL
conveniiotl.
Income
All incoJn¢ is reeognised in the Sraiement of Finoncial Activities on¢e the Charity has eniitlemeni to the fijnds, it
is probable ihAI the income will be received and the amount can be meagured reliably.
Incornc is derived from a combinattoft of donaiions, which &r¢ unresty¥ct¢d, and gtafjts, whith are restricted to
spccific funds.
Ineom¢ received lor services provided is accounted for on an accrual basi$.
Donaiions. ttifts and legacics are included in th¢ in¢om¢ 2nd expendiLure as received. Any significani non-cash
donations &re included in the incotne and expenditure accoiini ai the trusiees estimate of market valuc al th¢ tirne
rcceivcd. The value of voluntary help is noi iiieluded in rhe accounts.
Grants and other funding of a reveiiue naiure are deferred and rcleased io the income and expendiiure accouni
over tli¢ P¢Tiod to which they relaie.
Bank inieresi is included in the ineome wjd expenditure account on an accrual basis.
Expenditure
Liabilitie5 are r¢coJu i5ed as expcndiiure as soon a5 there is a legal OF constructive obli,.aiion ¢ommiiiin8 the
harity 10 that exptndiMre. il is probable that a transfer of economic benefit< will be required in sertlemeftt and
the amount of the obligaiion can be measured Yeliably. Expendittjre is accounied for Dn an accrua15 basis and has
been classified under headings that aggTegat¢ all cost related to the cateoory. Where costs cannot be dIT￿tlY
attributed to particular headings thej have been allocaied io activitie5 on a basis ¢oTr$ist¢ni with the u5¢ of
resources.
Tangible fixed #ssets
D¢preciation is pruvided &t the following annual ra(¢s in order ro write off each asset over its ¢5timated tsseflll
FixtUT¢5 and fittyngs
Coinputer equipmeni
2fW/u on Tedu¢i5)g balar)¢¢
25 /4 on ¢ost
Taxgtion
The charity is exempt from corpaTAtion its ¢h*rii*ble aciiviiies.
Fund accounting
u*￿eStrIcted funds can be used in a¢¢ord80¢¢ with the charLMble objectives at the dis¢reiion of the trustees.
Restricted fijnds can only be used for particular restricted purp05¢s within the objecrs of the charity. Restrictions
arise when specified by the donor or when fijnds are raised for p￿)Cular r¢Mrieled purposes.
Further explanation of Ihe nature and purpose of each fijod 1$ included in the notes to the fJnan¢ial st￿ments.
Page 10
continued..

Ttsurt¢tes-Syodrome, Intlusion in the
Commtsnity IT.I,CI
Notes to the Fing￿¢191 StatemeTrts- continued
for the YeAf Ended 31 Ottober 2025
ACCOUNTING POLICIES- continued
Fin&oeial instruments
The Lompany only has finan¢iaJ assets and fJttan¢ial liabilitie$ of a kind thai qualify as basic finan¢ial
instruments. Basic financial instruments, in¢ludiDg trade and oiher dcbior5 and creditor5 are tnitially Tecogni$¢d
at Iransaerion valuc and 5ub5tquently measure at Ih¢ir settlemettr value.
Slgnifi¢a*t j￿dEement and e5timate5
Estimaies and judgernenls are continually evaluated and are b2sed on hisiorical experience and other factor5,
including expectarions of future eveiits thai art b¢lieved io be reasonable under ihe circum5tsnce5. Although
Ihese estirnaies Ère based on the Dire¢¢ors' best knowledge of Ihe amount, events or aeiion5, actual results
uILimarely d&ffer fram Ihcse estimates. The Dtrectors do noi consider Ihert lo be any marerial estimate5 and
jtsdgements.
OTHER TRADING AcfiviTIES
Period
29.10.23
Year Ended
10
iI.10.24
Fundraising even
4,668
NET JNCOMEI{EXPENDITVAE)
Nei incomellexpcnditurel ￿ 5¢ated aft¢r ¢harg>Dgl{creditsn81'.
Period
?9.10.?3
Year Ended
31.10.?5
Depreciation- owned ￿e¢S
322
TRUSTEES, RZMUNERATION AND BENEFITS
There were no tru$tres' r¢mun¢r*ioo or other beneflrs for thc y¢ar ended 31 O¢tob¢r 2025 ttor for the period
endrd 31 Oclob¢T 2024.
Tru$t¢¢s' ¢xp¢nses
Ther¢ %vere no I￿￿tees, eypenses ￿ld for th¢ year ended 31 October ?0?5 nor for the WiLxJ ended
31 Octokr 2024.
Pagell
ceniinued...

Tollrette5-Syndrome, Intlu$loo itl th¢
Communlty rr.i.c}
Notts to the Financl•l sts¢emellts- ¢ontinued
for thè Year Ended 31 October 2025
STAFF COSTS
The Sioff Costs for lh¢ year are as follows..
2025
Gross Wa£e
£48.047
£37,564
Total
£48.047
£i1.564
Th¢ key management peT50nrKI of the charity is tn charge of dirccting. ¢ontrollÉng, running and operating Ihe
charity on a diy to day basis_
Key managerncnt is K Mitchellle ICEOI.
Th¢ total remuneraiioji of ihe key Tnanagemeni petsoftnel for the year was £25.600
The averdge monthly number of employets during the y¢ar wa5 a5 follows".
P¢ri¢d
29.10.?3
10
31.10.?4
Year Ended
31.10.?5
Employees
No ¢rnployees received emolumen15 in exce5$ of £60.000.
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfiviTIES
Unr¢stri¢ted
fvnds
Restrlcted
funds
Total
fiJnd5
INCOME AND ENDOWMENTS FRO
Donations And lega¢ies
8,?91
8.291
ChHritable s¢tivities
Chariiable
955
44.115
45,070
Oihcr trading aetlvilies
1,199
Total
10,445
44,11)
54,560
EXPENDITURE OIY
Charltable •ctivtti
Charitable
16,459
68,595
NET INCOMEIIEXPENDITURE)
16,0141
{8.021}
{14.OJ51
RECONCILIATION OF FUNDS
Tolal fvn41% bTOU8ht forward
14.(594
Py12
continued...

To¥r¢tt¢S-SyndrDm< Inclusion in the
Community IT.J.CI
Not¢s to the Financial Stattments- continued
for th¢ Yexr EDded 31 Octobér 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES- tontinu
Unrestricted
tunds
Restrict
funds
Total
fvnds
TOTAL FUND5 CARRIF.D FORWARD
8,914
20,059
TANGIBLE FIXED ASSETS
Fixturcs
and
fittings
Computer
equipmeni
Totals
COST
AE l Nov¢mb¢r ?024 and J l (kiober ?025
550
1,846
2.396
DEPRECIATION
At l November ?0?4
Charge for year
1,210
213
1.320
88
At 31 (ktob¢T 2025
198
1,4)3
NET BOOK VALUE
Ai 31 October 20?5
352
423
775
At 31 (ktobtr 20?4
440
636
1,076
DEBTORS.. Amoufffs FALLING DUE WITHIN ONE YEAR
20?5
2024
Prepayments and accrued io¢ome
422
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Accruals and defeTred in¢ome
26,700
?6.684
P&8e 13
coniinued...

Tourettes-syndrome. Inclu510Th Ln the
Communtty (r.I.ci
Note5 to Éht Finan¢i¥l St#ttm¢JJts- toittnu¢d
for the YeY4T 8nded 31 October 202$
io.
MOVEMENT IN FUNDS
N¢t
movemen¢
In fund5
Transf¢r$
brtween
nds
At
At
31.10.25
Unrt$tritt¢d ftsnds
General
Sir James Reckiff
Bep¢facior
B W Lcgal
Posicode Lottery
WWCD
8,888
7.913
888
24,?94
18881
1261
747
1?,6701
716
26
{747)
12,196
446
(2701
8,914
22,6iO
5,372
36,936
Restricted fund5
Big Lorr¢ry
A4A
727
10,418
1,330
4,951
{3.9471
11,4251
11,8901
6281
{5.3721
12.054
TOTAL FUNDS
28.931
48,990
Net mov¢ment in funds. Included in the above are as follow5.
Incoming
resources
Resource5
eX￿nded
Movement
in funds
Unre5tri¢ted fund5
General fund
SIT Jame5 Rcckitt
BW Legal
Posicode Lottery
WWCD
17,289
1,046
19,376}
7.913
888
(7471
14,866
{?701
1747}
(7,1341
{?70)
22.(MlO
40,335
{17,685}
22,650
R¢stri¢t¢d f¥nds
Bis Lottery
A4A
49,437
19.814
148.107)
114.8631
4.951
69,251
162,9701
6.281
TOTAL FUNDS
109.586
180.6551
28.931
Page 14
continued...

Tourtttes-syndrome, In¢lusion in the
Community (T.l.Cl
Notes to the Fin•hci41 Stkttments- continued
for the Year Ettded 31 Oetober 2025
10.
MOVEMENT IN FUNDS-Contin￿e
ComparAtiYes for movement in futLd5
Net
movement
in funds
At
?9.10.?3
At
JI 10.24
Unrestricttd funds
General fvlld
Benefa¢¢or
13.9?8
1,000
15,040)
1974)
8,888
26
14,928
16,014)
8,914
Res¢rfct¢d funds
Big Lottery
A4A
19.166
(18.4391
10.418
7?7
10.418
19.166
18.021}
TOTAL FUNDS
34,094
114,035}
20,059
Comparaisve net movem¢nt ik fvnds. included in the above ar¢ as follows..
rees
Movement
resources
expended
in funds
Unrestricted funds
Gcnernl fund
Sir James R¢¢kitt
Benefa¢toi
9,490
955
114.530}
1955}
1974)
15.0401
(9741
10.445
116,4591
16.0141
Restritted (unds
Bio Lottery
A4A
24.116
19.999
(4? 555)
(9,5811
118.439)
10,418
44.115
{5? 1361
18.021>
TOTAL FUNDS
54.56(1
168,5951
114,0351
Page 15
continued...

TourCtte￿sYndr0Mt, Inclusion in the
c0￿M￿nItY IT.I.CI
Not¢5 to th¢ Firtancial Statement5- ¢Olltinued
for the Year Ended 31 October 2025
R£LATED PARTY DISCLOSURES
There were no related parry tTrrL5aC¢iOOS for the year ended 31 October 2025.
Page 16