REGISTERED COMPANY NUMBER: 11062575 (England and Wales}
REGISTERED CHARITY NUMBER: 1185951
REPORTOF THE TRU
TEE
AND
UNAUDITED FINAN
IAL
ATEMENT
FOR THE YEAR ENDED
OBER 2024
FOR
NHAM CONTR
OWER LIMITED
TaxAs5iSt Accountan¢s
35 Bartholomew Street
Newbury
Berkshire
RG145LL

REENHAM CONT
L TOWER LIMITED
CONTEJT5 OTr THE FIN.4f*CI.41. %T.4TENIEf*
FOR'fHE I'EAR
Report of the Tru$ttes
Independent Exlmlnerfs Report
Statement of Fin•n¢i•l Acilvlties
BAIHnce Sheet
Notes io ihe Fln*nel#l St*temthts
9 to IS
Detalled Statern¢nt of FID•nfl•l Artivlties
16 ￿ 17

GREENHAM C
WER LIMITED
RLPOR"I' OTr 'I'HL'fRI;'STb.ES
FOR THE IE.
The trustees who are also directors of the Charity for the purposes of the Companies Act 2006, present their report with the financial
siaiem¢nis of the charity for the year ended J l O¢tob¢r 2024. The trusttts have adopied the provisions of Accounting and Reporting by
Chariti¢s.' Statement of Recommended PrdCtic¢ applicable lo charities preparing iheir accounts in accordance with ihe Financial ReponiDg
Standard applicable in ihe tyK and Republic of Ireland IFRS 1021 leff￿lIve l January 20191.
0￿ECTIVEs AND ACTIVITIES
Th¢ purpos¢ of the chsrity is..
to preserve and mointhin Greenham Control Tower I'the Tower") for the benefit of the publi¢ by providing a h¢rila8¢
¢eni¢r in¢ludin8 special ¢xhibilions and 5UPPOrtin8 VLSitor facilities
io advanc¢ ihe education of the public by provisign of a museum. displays and relevant collections, special exhibi¢ions,
ialks and activities aboui ¢he Tower ¢xplaining lis role in military and 8viJlion history and its local community link5.
The main *tivities during the reportin8 period have been..
Th¢ provision ol'guided iours of¢he Tower, exhibilions relatinB 10 the Tower. local elubs attd ihe surrounding Common
Exhibitions relaiinB 10 the Tower. hislory of the Common or local clubs
Outreach talks to local organizations and radio preseniaiions
Heriiage open day
Hosting third party group visits such as car owner groups, eoaeh tours etc.
The Trusiees are conscious of the need to exercise deei5ion5 thwl r￿o￿niSe the responsibility of providing public benefit in the exhibitions.
tours eic, At the Tower.
Decisions recognise our Charity PUnK)se and by providing exhibitions, iours. ialks e¢¢. Ihe Trusttts are meeting the Tespon5ibility of
deliverin8 public benefii io local. national. and internalional visitors.
Greenham Control Tower Limtted does not make grants. The rh8rity will 855¢55 the value of any proposed exhibithon eic. before Ihey
applying for funding. Such activity will align to our public benefit responsibilitie5.
Greenham Control Tower 15 a Grade 11 list¢d building sited on Greenham Common. The site was retumcd to the local people after being
decommissioned as an airbase. All (he aciiviiies and decisions taken are mindful of the ne¢d to ¢nsur¢ tha¢ the naiural beauty wildlife
ot'ihe common are respecied.
The TNs¢ees support other local charitie5 in providing work experience for young people.
The Charity is largely operated with volunteers ex¢ept for a few staff who Supervise and stsff the café. which is a separate legal entity
which raises fund5 for th¢ ¢hgrtly.
Volunieers are ai (he centre of our operaiiott and provide the full r8nge of visltor experience with the tours, tslks and exhibititsrts.
Volunteer en8a8emenl is a ¢riti¢al aspect of our public benefjt delivery &$ our volunt¢¢rs ar¢ I￿1 and provide a neiwork with the local
community.
Pag¢ I

Aohievements *nd Performance
En8a8ement with the local communiry S￿￿Ted through v8rious xtivities.
Exhibitions: The main event of the year was the 'Herits8e Ot*n Day.. a we£kend eveni that provided 8uided rour5 of the airbase
decontamin￿10￿ suite. Third phrty gnups ￿$0 hosted a number of visits such as carowner groups, coach parties. WI 8roups. sch(x>ls and
scouts eie.
Pliy$'. We were ¥bl¢ to pui on plays for the public based up)n the theme of the Tower aTwJ the common.
T8lks'. Group tslks io Sever￿ local so¢idies thot provided en8a8emeni the local Community.
Guide5.' Advanthge was tsken of usins the conuDon lo pry>vid¢ herits8e self-8uided walks with maps provided.
Additions io ihe Tower.. Coniinued development of the ¢UTX)l¥ ￿ enhance the visitor experience. Ins¢allaiion of screens in ihe café area ihat
show historical films of the common as well as live c•mcra feeds of the o)mmon. Such measwes are panicularly relevani io those ViSiiOTS
thai have mobility issues.
The Chariry h&$ re¢overed well from the IM￿ of COVID with visitor numbers now ¢x¢¢edÈng we pandemic levels.
The Chariiy recently review$ the business plan fomiu1&tr5 a8r#d objeetives for implementation.
Fundrai5in8 activities continued throu8houi the year with various obJ￿1Ve$ desi8n¢d w d¢v¢lop th¢ Towu and enhance visitor
experience.
Finaneial Review
The Charity works with the associated compgny. Greenhjrn Contyol Tower Tr￿Ing Lid. which opera*s the café and provides fund5 for the
Charity to operatc the Tower. De5pi* the inlemipikon io a¢iiviiy ￿￿5¢d by ihe pondemic. the financial posilion of the charity has b¢¢n
resilient. Visiior numbers have returned and exceed pre-pW￿tMi¢ levels. I[K￿¢ for G￿enhaM Conirol Tower TrwJin8 Lid continues io
increas¢. allowin8 sirong financial support for the Charity.
The Trustees remain confident ihat pnKlent mon4g¢meni will supp)n ihe long-iemi success of the Charity. The Charity objeetiv¢$ is to hold
a minimum of 3 monih5 reserves to cover the cosis of maint&inin8 the operntion of Gr¢¢nham Control Tower.
The Chariiy obj¢ciiv¢ is io hold a minimum of 3 months reservts ￿ cover the Costs of main￿lnIng the operation of Grttnham Control Tower.
As ai 31 Ociober 7024 the charity held £14.633.62 in its ¢urr¢ni xwuni. A further £22.309.41 was held in a deposii ￿e0￿nI and w&s
de$i¥naied for exhibitions. There tre currently no wKenainiies a￿￿¢ the Charity coniinuing as a going ¢on¢ern.
STRUCTURE. GOVERNANCE AND MANAGEMEiYr
Greenham Control Tower Ltd is a rtgistertd charity and a company limited by 8uarantee whith 1$ 8overned by a Memorandum attd
Arti¢le5 of Association. The Board meet monthly 10 8uid¢ str8t¢8y. approv¢ wJli¢i¢s, and approve proposed exhibitions and fundin8. 'I'he
Board also consider any pro￿Sed new Trusiee appoinlmeni which follows an agreed procedure. Any new Trustee appoinlment r¢quires
the approval of the Board. The Board seeks io achieve diversity a brothl rnnge of views through membership.
Page I

REEN
P•TR
L TOWER LIMIT
RFPORT OF THE TRI"5TELS
FOR
ED
REFERENCE AND ADMINISTRATIVE DETAILS
ITrICORPORATION
The charitable company incorwrated on 23 Octob¢r 2019.
STRUCTURE. GOVERNANCE AND MAI%AGEMENT
Go%erning documertl
The ihariiy is conlrollcd by its governing documenT. a deed of and ry)nstitutr$ a limiied company. limited by guaraniee. &$ d¢fined
by ihe Companies Act 2￿.
Registered Cornp*ny numbtr
1106?575 IEngland and 14'alesl
Reglstered Ch%rlty nthmber
1185951
R¢zistered offltt
Greenham Control Tower Burys Bank Rosj
Greenham
Thatcham
RG198B£
Trustees
J M Gag¢ Dir¢¢tor
S R lones Company Direclor
N J Manley PrrJj¢¢t Mana8eTIDiTector
D A Thomas li ConsultsnVDir¢cwr
J M Swift-H()ok Direcior
B Redp#ih lappoinied 21 March 20241
M Foster lappoinied 21 Ma￿h 20241
Comp*ny Seeret#ry
Not requir
Independent Exarnlntr
TaxAs515t A¢¢oun¢anis
35 Bartholomew Stre¢t
Newbury
Berkshire
RG145LL
Approved by o
er of th¢ of trustees on ..... ... .
. $i8ned on its behalf by:
S R JoDe5
Trn5tet
Page 3

GREENHAM CONTR
WER LIMITED
STATE￿IENT OF THE TRUSTEES, RF.SPOY%IBILITIES
RTH
CTOBER 2024
The trustees art responsible for preparin8 the Report of the Trustees and the fknatlcial statements in aL*ordance with applicable law and
United Kingdotn Accounting Standards {Uniied Kingdom Gerterally A￿￿ted Accountirtg Practice).
The law applicable to charit1¢5 in England and Wales, the Charities Aci 2011. Charity (Accounts and Reponsl Regulations 2008 and the
prov15ions of the trust deed requires the trustees io prepare financial statements for ea¢h fEnancia] year which give a irue and fair view of
the state of affairs of the charity and of the incoming resources and application of resources. including the income and expenditure, of
the charity for th￿ period. In preparing those financial staiements. the trustees are required to
select suitable a¢¢ountlDg poli¢ies and then apply them consistently;
observe the methods and principles in the Charity SORP,.
mak¢ judgements and estimates thai are reasonable and prudent..
prepare the fin#neis] si&ements on the goÉng conc¢rn b&sis unless it is inappropriar¢ to presume that the charity will continue
in business.
The trustees are Tesponsible for keeping proper accounting records which disclose with r¢asonable accuracy at any time the financial
position of the chaTity and to enable them to ensure th￿ the finan¢ial siatements comply with the Charities Aa 2011, the Charit
IAc¢ounis and Reports) Re8ulations 2008 and the provisions of the trust deed. They are also responsible for safeguarding the assets of
the ¢hariiy and hence for tsking re&sonabl¢ steps for the prevention and detection of fiaud and other irregularities
Pagt 4

INDEPENDEYT F.X.4.
GREENHAII
'S REPORT TO THE
L TOM"ER Ll%flT
Inde￿ndent examiner's report to the trusiees of GreenhaTh Contrnl Tower LiThit¢d I'the Company'l
I report to the charity Inistees on m). exaMin￿10n of the ac¢gunis of the Company for the >'ear ended 31 (knob¢r 2024.
Res￿nsIbilitIeS Ind b*sis of r¢port
As the charit)'s trustees of lh¢ Company land also its direc￿T$ for the purrA)scs of company lawl you 4e reswnsible for the preparaiion
ot'the accounts in ac¢oidance with the requirements of the Companies Act 2006 Ilhe 2(#)6 A¢t'l.
Having 5at15fied myself thai lh¢ ￿counts of the Company are noi required ￿ be audi*d under Part 16 of the 2006 A¢t ond are eligible for
independent examin*ion. I r¢wrt in respect of my examination of your¢harity's a¢¢ounis &s carricd oul under wiion 145 of the Charities
Aci ?01 I I'ihe 2011 A¢t'l. In ¢￿iTr8 Out my examination I have followcd the Direaions given by the Charity Commission under $e¢tion
14515llblofthe2011 Ad.
Independtnt eiamlner'$ sia¢¢m¢nl
I hov¢ completed my examinaiion. I confirni th￿ matters have ¢ome ￿ my ￿entIOn in connection wilh the examinatlon 8ivin8 me
cause to believe..
accounting re¢ords were not kept in respect of the Company •$ required by seciion 386 of the 21)06 A¢1; or
the accoun¢s do noi a¢¢ord with ihose rtcords: or
Ihe accourtts do noi Comply with the accountlll8 requirements of se¢¢ion 396 of the 2(￿ Act other th¥n atty requirement thai rhe
accounis giv¢ a true and fair view which is nol a matt¢r c¢)ttsidered as pan of an independent examination,. or
the accounts have noi been prepared in accordance with the methods and principles of the Stsiemeni of Recommendcd Proctie¢
for accounting and [C￿rtIng by charities lapplicable to ¢haritkes preparing their accounts in accordance with the Financial
R¢portin8 Standard applicable in the UK Republic of Ir¢i￿d IFRS 102}.
I have no ¢oncems and have come a¢r055 no other matter5 in conneciion wtth the examinalion ¢0 whi¢h an¢ntion should be drawn in this
ieport in order io enable a pmper Under￿￿1n8 of th¢ awoynts to bt [￿h¢d.
PAUL GREENAN
MBA FFA FFTA
T￿ASsIst Accountants
-15 Bartholomew Sir¢et
Newbury
Berkshire
RG145LL
Date..
Page 5

REENHAM
iYrROL TOM'ER LIMITE
STATEIIENT OF FIY_4NCI.4L Acfii'iTIES
'EAR END
F.R2
24
YEAR ENDED YEAR ENDED
31110124
31110123
Total
Total
fuDds
funds
iinTe5trirted
f￿Dd
Restricttd
Notes
IliCOME.4ND ENtK)WMENTS FROM
Donatlolls and legacie5
Other income
67.716
7.596
67.716
7.596
77.195
Investment income
4.742
2.157
Total
80.054
80,054
79.352
EXPENDITURE ON
Raising funds
10.096
10.096
6.097
Chgritsble *rtiviti
HLF
Other Spend
1.008
46.054
1.008
46.054
55,709
Other
2271
Totsl
59.429
59.429
64.083
NET JNCOI¥IE
20.625
20.625
15.267
RECONCILIATION OF FIINDS
Tot*1 funds brought forwjird
74.708
74.708
59.441
TOTAL FLNDS CARRIED FORWARD
The notes fonn part of these financial swements
Pa8e 6

GREEYHAM COP4
L TOWER LI
B.4L.4%C.E SHEET
21124
Total
fund$
2023
Total
fund$
iJnreslrirt4
Restricted
fund
Noies
FIXED ASSETS
Tangible asset5
5.959
5.959
6,838
CLRRENT ASSETS
Debiots
C&sh at bank and in hand
56.370
56,370
36.964
43,631
26.879
93.334
93.334
70.510
CREDITORS
Amounts fallins due within one ye4r
(3.960)
{3.9601
12.6401
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILrtlES
95.333
95.333
74.708
NET ASSETS
95.333
95.333
74,708
FIINDS
Lnrestri¢ted funds
Resirirfed funds
95.333
74,708
TOTAL FUNDS
95,333
74,708
The charithble company is eniiiled ￿ exernwion from audii under Section 477 of the Companies Art 21N)6 for the year endtd
31 October 2024.
The members have no¢ required lh¢ Company ￿ obtrin an wdii of tts financia] 5taternents for the year ended 31 October 2024 in
ac¢ordance with Se¢rion 476 of the Compani¢s Act 21MI6.
Th¢ rnjstees acknowledge their resrK)nsibilities for
(al
ensuring thai the charithble company keep5 accounting records that cornply with Sections 386 and 387 of the Companies A
2006 and
preparing financial sthternents which give a true and fair view of the $￿e of affairs of the Charitsble Company as at the end of
each financial year and of its SUTplus or d¢fi¢i¢ for ¢a¢h financi￿ year in accordance with the requirements of Section5 394 and
395 and which otherwise comply with the requirem¢nts of the Companies Act 2006 relatins to flnancial stsiemenis so far as
applicable to the charitable company.
Ib}
The note5 forni part of these financ￿[ stalements
Page 7
cotttirtued...

GREEYHA
NTROL TOWER LIMITED
BAI,.4NC.E SHEET-
31 OCTOBER 2024
ntinu
These fiTLancial stattments have been pyepared in accordance with the pmisions applicable to ¢harithbl¢ ¢ompani¢s subj¢¢i ￿ the Sm￿[
¢ompanies regime.
The financial stsiemenis We￿ approved by the Board of TnJs*es and auth)ri5ed for issu¢i)n..... ..
on lis be
a]f by..
2oLg
. snd were signed
SRJO
- TTUStee
The notes fonn part of these financial statement5
Pag¢ 8

NTROL TOWER LIMITED
YOTES TO THE FIN4.4%CIAL STATENIE
FOR THE I'E.4R ENDED31 0
BER202
ACCOUNTING POLICIES
BASIS OF PREPARING THE FIN.4NCIAL sfATEMENTS
The fjnancial stsiements of the eharitsble company. which is a public benefit entity under FRS 102, have been prepared in
accordanee with the Charitie5 SORP IFRS 10?) 'A¢counting and Re￿rting by Chariii¢s'. Swement of Recommended Pra¢tice
applicable to ¢harit1¢5 pr¢pariThg their accounts in accordance with the FiTranci￿ ReFoning Standard applicable in the UK and
Republic of Ireland IFRS 1021 {effective l January 20191.. Financial ReFOrting Standard 102 The Financiaj Reporting Standard
appli¢3bl¢ in the UK and Republi¢ of I￿land. and the Companies A¢1 2(M)6. The financiaj statements have been prepared under
the hisiorieal cost ¢onvention.
FINANCIAL REPORTIP¥G STAYDARD 102- REDL'CED DISCLOSI'RE EXEMPTIONS
The charitable wmpan) has tsken advarttsge of the following disclosu￿ ¢x¢mplions in preparing these fuiancia] statem¢Th￿.
pern)itted by FRS 102 The Financial Rewrting Standard applicable iii the UK and Republi¢ of Ireland,:
the requirements of S¢¢ti¢)n 7 Stsiement of Cath Flows.
CRITICAL ACCOLNTING EsfiMATFS AND JUDGEMEYTS
In th¢ appli¢atroTb of ihe Charity's accountin8 rKJlici¢& the Trustees are required w make judgemeThLS, esiimates #nd
assumptlons aboltt the carrying amount of assets and liabilities are not r¢&lilw apparent fran other sources. The esttmaies
and &$s￿l￿ed assumptions are based on hisiorical experien¢e and other factors are considered io be relevani. Aaua]
results may differ from these esiimate5. The estimaies and underlying &ssumpiions are reviewed on an ongoing basis. Revisions
to accounrins estimates are recognised in the penod which the estimate is revised where the revision affects only thai period,
OT Iri the period of th¢ revision and fuiure Friods where the reviston affects b)th current ar￿ ￿tUre periods.
INCOME
All income is Teco8nised in the Statement of Financial Activiiies onc¢ the charity h&s entitlement to the funds. it is probable that
Ihe income will be received and the amount can b¢ mvdSured reltably.
EXPENDITURE
Liabiltiies are recognised &s exp¢ndiiure as s(K)n as there is a legal or Constructive obligaiion wmrnittkn8 th¢ ¢harity to that
expenditure. it is probable that a ts￿Sfer of economic iKnefits wll be required in settlement and the amount of ihe obligation ca
be me&sured reliably. Expenditure is a￿Ounted foron an ac£ruals basis and h&% been cl&ssified under headings aggregaie all
v)st related to the cat¢gory. Where costs can[￿t be direrfly attrilMEted to panicular headings they have been a]lo¢ated to ￿TivItieS
on a b&sis a)nsisteni with the use of ￿sOUrCes.
TANGIBLE FIXED ASSETS
Depreciation Is provided ai the following annual rntes in Iwder to write off each OVLY its ¢Sl]rnat￿ useful life.
Plant & Machinery- 250/0 redu¢ing balanee
Fixtures and fEttin85- 250/47 reducing balance
TA.XA TJON
The charity Is exempt from cortmiration thx on its charitable auiviues.
FUND ACCOUNTING
LinTestri¢ted funds caTh be used in accordance with th¢ ¢haritsble objective5 at the discreiion of the tTU5ttts.
Page 9

Resirided funds can only be used for particular restrÉued p￿ry￿ within the obje¢ts of the Charity. Re5trictioThs arise when
specified by the donor or when funts are Taised for parricular restrictrd purposes.
Further explanation of the n*ure and purpose of each fund is includ¢d ￿ the Thxes ￿ the financial ststements.
HIRE PLTRCHASE AND LEASING COMMITMENTS
Renra]s paid underoperating1¢&5¢5 are charga io the Sta*ment of Financia] Activities on a straight line basis over the peri¢)d of
Ihe lease.
PENSIOP* cosrs AND OTHER POST-RETIREYEiYf BENEFITS
The charitable company operntes a defined contribution pension scheme. Contributions palable to the charitable company's
pension sch¢me are Charged to the S￿eMen( of Financial Activities in the ￿0d w wht¢h they relate.
Page 9

RE
AM COYTROL TOW'ER LIMITED
ES TO THE Fl•iANCI.4L STATEIIENTS_
FOR THE I'EAR END
INVESTMENT INCOME
YEAR ENDED YEAR ENDED
31110124
3111012J
Renis received
Dep051t acwunt inieresi
4,666
76
2.100
57
2.157
NET INCOME/{EXPENDITL'RE)
N¢1 in¢om&lexpenditurel 15 swed after charginpJlcr¢ditin81'.
YEAR ENDED YEAR ENDED
31110n4
31110123
Depreciation - ¢)wned assets
Hire of plani and m4chinery
1,986
2.279
666
TRI;,STEES' REMUNERATION AND BENEFITS
There were no trustees. remuneration or other ben¢fits for the year ended 31 O¢tyber2024 nor for the period ended
31 Othober 2023.
TRUSTEES, EXPENSES
There were no tru5*es' expenses paid for the year ended 31 October 2024 nor for the pericd ended 31 October 2023.
EMPLOYEES
There were employees durin8 the year.
TAXATION
The Charity is a re8lStered ¢hariry and therefore 15 exernpt from la¥aiion.
Pagell
continued...

GREENHA
NTR
TOWER LIMITED
P40"1'ES TO THE FIliANC.'IAI. ST A TE%IEN'fs- continued
FOR THE I'EAR
'TOBLR 2
24
COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcfivJTIES
Lnre$trleted
fund
Restricted
fund
Tot•1
funds
INCOME AND ENDOWMEwfs FROM
Donations and legacies
77.195
77.195
Investment irtcome
Total
79,352
79,352
EXPENDITLIRE ON
Raising funds
6.097
6.097
Ch4rit4ble aetivitie5
HLF
Other spend
55,709
55.709
Other
TotAI
64,085
64,085
NET INCOME
15.267
15.267
RECONCILIATION OF FUNDS
Total fuDds brought forwxrd
59.441
59.441
TOTAL FUNDSCARRIED FORWARD
74.708
Page 12
contiTrued...

REENHA
WER LIMITED
OTF.S TOTHE FINAliCIAL STATENIEYTS- eontlDued
FOR THE I'EIIR EliDED 31 OCT
TANGIBLE FIXED ASSETS
Flxtures
¥nd
rJiting$
Pl*nt And
rnachinery
Totils
COST
Ai l November 2023
Additions
150
15.450
15.6(Ml
At 31 October 2024
150
DEPRECIATION
Ai l Nov¢mbeT 2023
Charge for ye
8.648
8.763
Al 31 Odober 2024
124
10,749
NET BOOIK V'ALUE
At 31 Ociober 2023
35
6.802
At 31 Odober 2024
26
DEBTORS: AMOIINTS FALLING DIIE WITHIN ONE YEAR
2024
2023
Amounts ow¢d by 8fOUP undertakin85
HMRC-
Prepaymenis
52.573
39.835
Page 13
coniinlled...

NTR
MITED
YOTES TO THE FIN.4YCIAL ST.4TE%IENTS-
FOR THE IEAR ENDED31 OCT
BER 2024
CREDITORS: AMOUNTS FALLING DL'E WITHIN ONE YEAR
2024
2023
Trade eredtiors
her ¢reditors
T&
Social 5ccurity and other taxes
AccTuals and defe￿￿ income
MOI'EMENT IN FI1Tr4DS
At
Oiii Ill3
ovement
in funds
At
31110124
Unrestricted funds
G¢neral fund
74.708
20.625
95,333
TOTAL FUNDS
95.333
Nd movemeni in funds. included in the above are follows..
Resources
eApended
Moiememt
in fuDd$
Unrestricted funds
G¢neTal fund
80.054
{59.429)
20.625
TOTAL FUNDS
80.054
59.4291
Page 14
ntintsed._.

REETr4HAM
WER LIMITE
OTE.S TO THE FINANCI.4L STATEIIENTS- tontlDued
FORT
. I'Tr.AR ENDED 31 OCTOBER 2024
MOVEMENT IN FUNDS- ￿￿tIn￿ed
Comp•r*tives for movement in
het
ovemtmt
in fund$
At
31110n2
At
31110123
Unrestrlrted funth
General fund
59.441
15.267
74.708
Restrleted funds
Restricied Fund
TOTAL FUNDS
Comparnive nei movement in fvnd5. included in the &bove Are as follows..
Incomlnff
Resourees
exptnded
Movemen¢
In funds
Unr¢$trleted funds
General fund
79.352
{64,085}
15,267
Re5trirted funds
Restricied Fund
TOTAL FIINDS
64.0851
15,267
10.
RELATED PARTY DISCLOSiIRES
As ai 31110124. Gr¢¢nham Control Tower Trading Li4 the ¢afé within Greenharn Control Tower and which is IOOO/o owned by
the charity. owed Greenham Corttrol Tower £5237312023.. £39.8341
Pa¥¢ 15

CREENH
CONTROL TOWE
LIMITED
DET.4ILED STATEIIEN4T OF FINA%CI.4L ACTII'ITIES
FOR THE I'E.IR E)DED JI
YEAR EYDED I'EAR Ef4DED
31110124
31110123
INCOME AND ENI)OWMENTS
Don*tions And l¢ycies
Donations
Granis
Events Ineome
Other Income
26,759
39.372
1.585
7.596
20,769
53.412
3.014
75.312
77.195
Investment in¢om¢
Renis received
Deposit account inieresi
4,666
76
2,100
57
Tot*1 Incorning resou￿¢¥
80.054
79.352
EXPEiYDITIIRE
Other trAdlng Ittlvities
Purchases
Evenis
8.089
2.007
3,164
2,933
10,096
6.097
HLF Expenditure
1.008
Chgrit9ble activities
Hire of plant and m#¢hinery
4,601
666
Other
Plant and ma¢hinery
Fixtures and fittings
Other expenditure
12
2267
1977
285
2.271
2.279
This page d(*s tK)t fornj part of the ￿all￿•ry financial $￿ements
Page 17

1*HA￿l COYTROL T
R LIMITED
F.T.41LED ST.4TEMEjT OF FIIA%CI.4L.4CTIVITIES
OR THE I.
24
YEAR EYDED YEAR ENDED
31110124
311111123
Support costs
Rates and waier
Insuran¢¢
Light and heot
Posiage and 5tation¢ry
Advertising
Goveman¢¢ and chariry resilienee proje
Fquipment expensed
Cleaning
W4sie Disposal
Repairs and renewals
Security ¢0515
Interest ￿y#ble
560
2.768
9.428
1.482
2.614
9.428
820
765
34
2.890
2.079
3.689
14881
22.818
22.319
36.719
Flnance
Wa¥es
Pension5
Li¥ht and he4t
Telephone
Posta¥e and 5ts1ionery
Sundries
Bank charges
Subscripiions
15.874
13.453
961
32
216
50
980
17,022
15,444
Inforni*tlon technolo&v
'ebsite Design
792
1.440
Govern*nee eosts
A￿O￿Tr￿nCY and le8￿ fee5
,320
1.440
Total resources expended
Net in¢ome
This pa8e does fomi rArt of the stsnrtory financial swements
Page 17