Cofflpany No: CE023940
Charity No: 1191863
REPORT OF THE TRUSTEES AND
UNAUDITF.D FP4AN'CIAL STAI'kLTrIENI"S
FOR THE YEAR ENDED 31ST DECEiVBER 2024
FOR
FtGHTtNG WITEI PRIDE
(A CHARITABLE INCORPOLL4TED ORGAF41SATION)
FIGHTING WITH
PRIDE
Ain51vorths Limited
Ch4rter House
Sta115field Street
NelSVIL
Laiicashire
BB9 9XY

FIGHTING WITH PIUDE
CONTENTS OF THE FINANCIAL STATEMF.NTS
FOR THE AR ENDED 31ST DECEMBER 2024
Report of the trustees
Independent exaTniner'5 report to the ttU5tees of Fighting with Pride
Statement of financial activitie5
Balance sheet
Cashflow stotement
Notes to the financial statements
10- 16

FIGHTING WITII PRIDE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 3 1ST DECEMBER 2024
The tTUStees present their report with the financial statements of the Charity for the year elided 31st December 2024.
The trustee.% have adopted the PTovisions of Accounting and Reporting by Charities: Statement of Recommended Practice
applicable to charitie5 preparing Ilietr aceount% in a¢¢ordan¢e with the Financial Reporting Standajd applicable in the UK and
Republi¢ of Ireland IFRS 1021 leffeciive l January 20191.
LEGAL AND ADMINISI"RATIVE DETAtLS
Registered charity number
1191863
Registered addre55
Charier Hou%e
Stansfield St
Nelson
Lancashitr
BB9 9XY
Trustee$
The trustees who served during t]ie year were as follows..
G P Lysier-Todd
A KBrown OBE
C A Jone.% MBE {resigned 8 April 2025)
R P Woods (resigned 12 July 20241
S Veillard-Thoma5 (resigned 21 October 2025)
S R Seal Iiesigned 23 January 2025)
E Dun1eavY-Ha￿l5 (resigned 15th July 2025)
K L Holvey-William5 (resigned 23 Jaiiuary 20251
L l Barr-Jone5
REPrice
A J Hartle FRCA FFICM
E H L Hall (appointed 24, April 20241
Appointment of trustees who were appointed after the year end..
T E Foote (appointed 8 April 2025)
S C Waliers (appointed 8 April 2025}
G Sangster-wall {apposnted 21 October 2025)
Key manAgement p¢rsollnel
C Jone5 MBE
C Paige
P A Gibson
Executive Chaii (resigned 24 April 20241
CEO (resigned 28 Febrnary 20251
CEO lapposnted 7 April 2025)
Patron
Lieuienant General Sir A Gregory KCB CB DL

FIGHTIIYG WITH PRtDE
RF,PORTOF THE TRUSTEES
FOR THE YEI AR ENDED 31ST DECEMBER 2024
LEGAL AND ADMINISTRATIVE DETAILS (continued)
Indepeiident Examiner
Mel Henry FCCA
Ainsworths Limited
Charter House
Stan%field Street
Nelson
Lancashire
BB9 9XY
Bankers
HSBC
3-4 Jameson St
Hull
HUI 3JX
STRUCTURE, GOVERNANCE AND D*L4NAGEMENT
Organi5ational $t#tU5
Fighting With Pride was registered as a charitable incorporated organisation (CIO) on 19 October 2020 under the prnvisions of
the Charitie5 Act (Charity number.. 1191863).
Strueture> governance and management
The Charity is govemed by a Board of Trustees with respon8ibility for the strdtegi¢ maT￿get￿¢￿t of the Charity. The l)oard
consists of a minimum of 3 trustee5 and has a maximutn llutnber of 12.
Trus￿$ serve a temi of J years. The Charity recognises that the creation of a diverse Board is an important factor in re¢tuiting
the professional competence required to adn)inister the Charity successfully while increasing the a¢¢ountability and public
Confidence in the overdll management of the organisation.
The ¢harity made a number of Changes to its structure and rnanagement duringF 2024, including the appointment of a new ¢haii,
the resignation of the founder and fomier CEO, and the resignation of three further ttustees over titne for pepional reason%. The
new chair has led a period of organisaiional change, including the introduction of the role of a vice chair. the appointment of
three board committees {Finance and Fundraising, People, and Communieationsl, and rhe wider board has appointed committee
¢hairs to lead these commiiiees. In addition to the quarterly board meeting5. these cotnmitlees also now sit Oll a r¢gular basis,
2nd hold ad hoc meeting5 as required to oversee govemanct and support the charity's executive a5 required. A committee of
the Chaits has been esthblished, which meets prior to the full tntstee board meetin85.
Where there is 8 requiremeni for new trustees. these have historically been appointed by the existing trnstees. During 2024, the
chair of trustees cotnmissioned the People committee to lead on alld manage recruiimeni of Jew tr￿}eeS on an open application
basis. Three new tru8iee appointments. were made in 2024 and in 2025 on that ba51S.
Full tneetings of the Board of Trustees took place on..
30 January 2024
24 April 2024
l July 2024
2 October 2024
26 November 2024

FIGHTIL¥G WITH FRtDE
kEpok'r OF THE TRUSI'EES
FOR THE AR ENDED 31ST DF,CF.MBER 2024
STRUCTURE. GOVERNANCF. AND MANAGEMENT (continued}
Risk management
The tru%tees have examined the m8jor strategic, busines5 and operational risks which the charity faces, and the trustees are
satisfied tliai n)an¥gemeni gystems have been establi%hed to ensure that regular reports are produced by the executive io the
trustee5, and that necessary steps can be taken to address any issues aT￿$11)g. During 2024, the charity's risk rcgi.ster wa5 actively
re-visited and has been subsequently a55essed on a regular basis. Actions taken by the irusiees response to ongoing risk
aiialysi5 have included the updating of all key wlicies, Ihe appointm¢￿t of board comJniltee5, the impleinentalion of Ollline
manag¢menttools and dashboard5. and tlie iiitroduction of new ouL8ourced cloud-based financial Tnanagetnent Systems {in 2025).
A proce&% of continuous itnprovemetil of managemeni pr()¢ebses Is tsvet5een by tlie t￿Stees, based on ongoing risk analysi5.
OBJECTIVES AND ACTIVITIES
Extract of the Charitable Objects
To relieve need, hardsliip or distress among LGBT+ veterans serving personnel and families by promoting and supporting
rehabilitation, reiraining and employTnenl of those who lost careers.
To peiilion for re.%torative jugli¢e where pension rights have been damaged and compensation denied and to seek
acknowledgment and retum of medals and other awards.
To promote equality. diversity and inclusion and bring together LGBT+ veterans serving personnel and families.
To bring a wider awareness of the enduring impact of the ban upon physical health and mental wellbeing through public
advocacy and research.
To promote good health and mental wellbeing.
To work with the Government, ¢haritie8 And all organisation5 that support veterans to enable a better understanding of the
needs of LGBT+ veierans serving personnel and families and the impact of pasi injustices.
To engage in Community building to enable integration of LGBT+ veterans irtto the wider military fttmily.
2024 Vision
The United Kingdom will become the best place in the world lo be an LGBT+ Veteran. Fighting with Pride (FWP) will support
LGBT+ Veterans. serving personnel and their families.
Successes
By December 2024, the government had implemented most of the recommendations made by Lord Etherton in his report. This
iiicluded the launch of the Financial Repardtions Scheme, providing payments to those di5mi55ed or discharged, and those
oiherwi.%e impacted by the ban on LGBT service prior to January 2000. During 2024 the charity led a strong and successful
campaign to ensure this s¢heme launched quickly. and the charity wa% %ucce%8ful in in¢rea5ing the Size of the reparations fund
availaE>le to veterans froni £50M 10 £75M. Combtned ivith the launch of a wide range of non-financial reparations, including
the retutn of berets and medals, pension resloralioll and individual service apologies, the impact of the charity's work in 2024
has been highly visibl¢ and impa¢tful.
Note
During 2025. the charlty has eng#%ed 5ub5tantial consultAtion exerclse to develop and re-exa￿lTre it5 vision and
niission to support the LGBTQ+ knmed Forces Coniniunity. Thi5 Ivork hAs not resulted in a change to the governing
dociiment5, save for change to become all LGBTQ+ orgaijisation, reflecting the cOm￿ll￿1t}. approach taken bv # )Tride
range of other grnied forces orggnisations. An up-to-date understalldillg of the ch9rity's vision and mission can be
found on the charity's website.

FIGHTING WITH PRIDE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31ST DECEMBER 2024
OBJECTIVES AND ACTIVITIES (continued)
Delivery Partner5
FWP has been supported in its work by a wide tange of key partneT5. 5UPPOrters and grant funders, the list includes..
Anglia Rw%kin Univer8ity
Armed Forces Covenant Fund Trust
Amiy Benevolent fund
Amiy Families Fedetation
Adferiad
Audio Content Fund
Blind Veterans UK
Bri115h Army
Combat Stre%s
Confederation of Service Charities
Covenant Fllnd Wales
Help4Heroes
Kings College Londoll
LGBT Consortium
LGBT Foundation
Anglia Ruskin University
Arnied Forces Covenant Fund Trust
Blind Veterans UK
BTitish Army
Cabinet Office for VtteraJL% Affairs
Cotnbal Stress
Confederdtion of Service Charities
Greenwich Hospital
Mtnistry ofDefence
National Countil Voluntary Organisations
Nation81 Memorial Arboretum
NHS England
NHS Wales
Northumbria University
Office for Vetetans Affair5
Office of the Northern Ireland Veterans Commi&sioner
Office of the Sctsttish Veterans Commissioner
Office of the Welsh Veterans Commissioner
Opening Doors London
Poppy Factory
Poppy Scotland
Portsmouth Military Mental Health Alliance
Regular For¢es Employment Agency (Forces Etnployment
Charity)
Royal Air Force
Royal Air Force Benevolent Fund
Royal Air Force Families Federation
Royal British Legion
Royal Navy
Royal Navy Benevolent T￿st
Royal Navy Families Federation
Royal NaNy Royal Marines Charity
Seafarer5 UK
Small Charities Coalition
Solent NHS Foundation TNst
Sussex NHS CCG
SSAFA. The Anned Forces Charity
Stonewall
Vetetans Foundation
Veterans Outr¢aeh Support
Veterans Scot]and
Walking with Ilie Wounded
Yorkshire and Humberside Pri50n and Probation Service
Public bellefit
In setting oui the charity's obje¢tives and planning of a¢tLVlties the tru5tee5 have given careful consideration to the Charity
Con)mission's general guidance and section 17{5) of the Charities Act 2011. The ttu%tees have reviewed the activities of the
charity, and are confident that the Charity offe15 services of teal and pThqctical use to the population, and therefore complies wilh
the responsibility placed on all charities under the Charitie5 Act 2011 to demonsirale a public benefit.

FIGHTING WITH PRIDE
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED31ST DECEMBER 2024
riINANCIAL REVIEI W
The trustes are plea%ed with the results of the reportjllg period. For the period ended 31, De¢etnber 2024 the total income was
£455,04512023 £676,841) and total expenditure w&$ £539,401 12023 £664,486).
Total funds caried forward at 3 151 December 2024 were £234.231, of which £221,219 were restricted and £13.012 were
unrestri¢ted.
The restricted income relates io the amount olproject funding received in advance but not yet deliveted.
Reserve policy
The tTUStees recognise that the low leweS of unrestricted funds reflecLS the early stages of gtowth of the charity. and they note
their intention to grow the amount of unreslri¢ted funds in the future to a level which enables the charity to cover its overhead5
for a period of 3 to 6 monthb.
STATEMELYT OF TRUSTEES, RESPONSIBILITIES
The tru%tLe% are responqible for preparing the TIu5tee5' Annual Report and the financial $18tements in accordance with applicable
law and United Kingdom Accounting Standards (United Kingdom Generally Accepted Accounting Practice).
The law applicable to charities in E'ngland and Wales reqllires the trustees to prepare financial slalemenls for each finan¢ial year
which give a true and fair view of the state of affair5 of the charity and of the incoming resources and application of resources
of the charity for that period. In preparing these financial siatements. the ttU5tee5 are required to..
select Suitable accounting policies and then apply them con8lStently*
observe tlie methods and prin¢iple.s in the Charities SORP.,
make judgement5 and estimates that are reasonable and pwdenl,.
stale whether applicable accounting standards have been followed, subject to any departures dis¢losed and explained i
the financial statements; and
prepare the accounts on a going concern basis unless it is inappropriate to presume that the charity will continue in
busin¢5S.
The trustees ate responsible for maintsining proper accounting records which dis¢lose with reasonable accuracy at any time the
financial po%ilion of the charity and to enable them to enbure that the accounts comply with the Charities Act 2011.. the Charity
IA¢¢ounts and Reports) Regulations 2008 and the provisions of the trust deed. They are also rebpoll5ible for 5afeguardillg the
assets of the charity and henee for lakirtg reasonable steps for the preventloll and detection of fraud and oiher irregularities.
Charity reqllir¢ment$
Thi5 report ha5 been PTepared in accordance with requirements set down by the Charities SORP {FRS 1021.
The
of tnj
ort of the trustees was approi'ed by order of the Board of fnjstees on 21 January 2026 and signed on behalf of the board
s by..
Chair

IIYDEPE￿DE￿'T EXAMINER'S REPORT TO THE TRUSTEES OF
IGH'fiNG WITII PRIDE
Iiidependent examiner'5 report to the tru5tee5 of Fighting iTrith Pride
I report to the ttustee5 on my examination of tlie accounts of Fighting With Pride (the Charity) for the year ended 3151 December
2024.
Responsibilitie5 and b#si5 of report
Ab the charity trusiees of the Charity you are responsible for ihe preparation of the accounts in accordance with the requirements
of the Charitie5 Act 2011 {'the Act'}.
I report in respect of my exatnination of the ChaTity's accounts carried out under section 145 of the Aci and in carrying out my
examination I have followed all applicable Directions given by the Charity Commik5ion under section 145(5)Ib} of the Act.
Independent ex&miDer s statement
Since your charity'5 gr05s income exceeded £250,000 your exaniiner must be a member of a listed body. I can confim Ihat l am
qualified io undertake the txaminaiion because l am a ￿gistered member of the Institute of Charteied Accountants in England
and Wale5. which ib one of the listed bodie5.
I have Completed my examination. l ¢onfimi that no material matters have come to my attention in connection with the
examination giving me cause to believe that in any material respect..
accounting record5 were not kept in respect of the Charity as required by se¢iion 130 of the ACL or
the accounts do noi aecord with those records,. or
the accounts do not comply with the applicable rquirements concerning the form and content of accounts set out in the
Charities IA¢counLs and Repons) Regulations 2008 other than any requiiement tliat the accounts give a true and fair view
which is not a matter considered as part of 2n independent exatnination.
I have no concerns and have come a¢r05s no other matters in connection with the examinationto which attention should be drawn
in this report in order to enable a proper understanding of the accounts to be reached.
Mel Henry FC
Association Of Chartered Certified Accountants
Ainsworths Limited
Charter House
Stansfield Street
Nelson
Lan¢abhire
BB9 9XY
Date: 21* January 2026

FIGHTING WITH PRIDE
STATEMF.NT OF FtNANCIAL ACTIVITIES
FOR THE YEAR ENDF.D JIST DF.CEMBER 2024
Unrestricted
funds
Restricted
funds
31.12.24
Total funds
31.12.23
Total funds
Notes
INCOME FROM
Donations and legacies
27,035
27,035
41.150
Charitable activitie5
Veteian welfare
118,631
309J79
428,010
635,691
Investment income
Total
145,666
309J79
455,04S
676,841
EXPENDITURE ON
Charitable activitie5
Veteran welfare
243.741
295,660
539.401
664,486
NET If4COME
{98,075)
13,719
{84,356)
12,355
RECONCILIATION OF FUNDS
TotAI funds brouglit forward
111,087
207,500
318,587
306,232
TOTAL FUNDS CARRIED
FORWARD
16
221219
234.231
318.587
The Statement of Finallcial Activities includ¢q all gain5 and 105ses recognised in the ytrdr.
All incosne and expenditure relate to continuing operatitsns.
The notes foTm part of these flnancial siatements

FIGHTING wI"fH PRtDE
BALANCE SHEET
AS AT 315T DECEMBER 2024
Unrestricted
fund5
Re%iricied
fijnds
31.12.24
Total fund5
31.12.23
Total funds
Notes
FIXED ASSETS
Tangible assets
13
1.042
1,042
2.292
CURRENT ASSETS
Debtors
Casli at bank and in hand
14
312
26,603
312
247,822
598
319,869
221,219
CREDITORS
Amounis falling due within one year
15
114,945)
{14,945)
(4,172)
NET CURRENT ASSETS
221 219
233 189
316.295
TOTAL ASSETS LESS CURRENT
LIABILITIES
13,012
221.219
234,231
318.587
NET ASSETS
221219
318 587
FUNDS
Uniestri¢ted funds
Restricted fund5
16
13,012
221,219
111,087
207,500
TOTAL FUNDS
234231
3 18.581
ial statements were approved by the Board of Tnjstees and 2uthorised for t%sue on 21* January 2026 and were signed
onitsb
Chuir
The notes fom) part of thes¢ financial statements

FJGHTING WITH PRIDE
CASH FLOW STATLMENT
FOR THE YEAR ENDED 31ST DECEMBER 2024
31.12.24
31.12.23
Notes
Cash floiTrs from chgritable attivities
C&%h generated froni activities
Net cash frojn charitable a¢tivities
72 047}
{72.047)
16,526
16,526
Cash flo￿$ from investing Activitles
Purchase of thngible fixed as5els
Interest received
(9751
Net Cash from investing activities
19751
Illcrea5e/{decre88¢) in cash and cash equRval¢nts
(72,0471
15.551
Cash And cash eqllivalents at beginning of year
319.869
304.318
CHsh and ¢a$h equlvaleuts at end of year
247,822
319,869
RECONCILIATION OF DEFICIT TO CASH GENERATED FROM ACTIVITIES
31.12.24
31.12,23
SuTplus for the year
Depreciation charges
Finance income
(84 J501
1,250
12,355
1,160
(83.106)
13,515
Ilncreaseydecrease in ttade and other debtors
Increasellde¢Tease} in trade and other creditors
286
10,773
655
2,356
C#5h generated from charltable aetivtties
{72,047)
16,526
CASH AND CASH EQUtVALENTS
The amounts dis¢lobed on the Cash Flow Statement in respe¢1 of Cash and cash equivalents are in respect of
these Balance Sheet amount5'.
Year ended 315t De¢¢mber 2024
31.12.24
31.12.23
Cash and cash equivalents
247,822
319,869
Period ended 31" De¢ember 2023
31.12.23
31.10.22
Cash and cash equivalents
319,869
304,318
The notes fonn part of these flnancial statetnents

FIGHTIPIG WITH PRIDE
NOTES TO'I'FIE filNANCIAL STATEMENTS
FOR THE YEAR ENDED 31ST DECEMBER 2024
STAI'UTORY INFoRL￿TIoN
Fighting with Pride 15 a Charitable IncotPOTated Organi￿tIOn {CIOI registered with the Charity Commission in England
& Wales. The charity's registered number and regi5teied office address can be found wiihin Ihe tnLStees report.
ACCOUNTINC POLICIES
Tangible fixed Assets and depreciation
Depreciation is provided at the following annual rates in order to write off each asset over its estimated use￿[
life or, if held under a finance lease, over the lea%e tem), whichever 1.% the shorter.
Computer Equipment
33 /0 Straight Line
Basis of preparing the financial statements
The finan¢ial statement% of the charity, whicli 15 a public benefitentity underFRS 102. have been p￿pared in ac¢ordan¢e
with the Charities SORP IFRS 102} 'Accounting and Reporting by Charities.. Statement of Recommeiided Practice
applicable to charities preparing their accounts. iii a¢cordan¢e with ihe Financial Reporting Standard applicable in the
UK and Republic of Iieland {FRS 1021 leffe¢iive l Jalluary 2019),, financial Reporting Standard 102 'The Fiiiancial
Reporting Standard applicable in the UK and Republic of Ireland, and the Charities A¢t 2011. The financial.8tatemenls
have been prepared under the historical cost convention.
Fighting with Pride meets the defJnitiOll of a public benefit entlty under FRS 102.
Ineome
All incoming resources are included on the Statement of Financial Activities when the chariiy is legally entitled to the
income and the amount can be quantified with rea%onable aecura¢y.
GranL% receivable, donations and income from charitabl¢ activiti¢s are accounted for when due. Income is deferred when
it 15 teceived in advance of the period to which it relates.
Expenditure
Expenditure isrecognised on¢e the￿ 18 a leg21 orconstTUCtive obligation to make a payment to a third party, Lt is probable
that 5eitlemenl will be required, and the amount of the obligatiort can be measured r¢liably. Expenditure is classified
under charitable activities and their associated supports.
Taxation
The charity is exetnpt from corporation tsx on its chaTStable activities.
Fund g¢counting
Unrestricted funds can be used in accordance with the charitable objectives at the discretion of the tTusiees.
Restricted funds can only be used for particular restricted purposes within the obje¢ts' of the Charity. Rebtriclions arise
when specified by the donor or when funds are raised forparticlllar restricted purposes.
Further explanation of the nature and purpose of each fund is included in the notes to the financial statements.
Debt(bf5
Short teTJn debtOTS are measured at transaction price, less any impairment.
Creditors
Short temi ¢reditors are measured at trdnsaction price.
10

FIGHTING wi'fH PIUDE
NOTES TO THE FINANCIAI, STAI'EMENTS (CONTINUED)
FOR THE YEAR E￿DED 31ST DF.CEMBER 2024
DONATIONS AND LEGACIES
31.12.24
31.12.23
Donations
41,150
INVESTMENT IP4COME
31.12.24
31.12.23
Interest receivable
INCOME FROM CHAIUTABLE ACTIVITIES
31.12.24
31.12.23
Grdnt income
Other in¢ome
Book sales
Veieran welfare
Veteran welfare
Veteran welfare
428,010
633.021
2,670
428 010
635.691
CHARITABLE ACTIVITIES COSTS
Support
costs (see
note 8)
Direct ¢05t5
(see Dote 71
31.12.24
Tota15
31.12.23
Total
Veteran welfate
423
116 054
539 401
664,486
DIRECT COSTS OF CHARITABLE ACTIVITIES
31.12.24
31.12.23
Wage5
Social becurity
Pension
Consultancy fee5
Project COS18
Book publtshing costs
Media relations
Website development CO.%LS
Donations awarded
TtHvellin8 costs
323.182
26,S76
7,180
319,379
26,139
6.711
7.930
210
16.924
2,390
30,238
65
11,094
1.462
6.738
72,759
38,955
423 347
474.585

riIGHTING WITH PRI3)E
NOTE4 S TO THF. FINANCIAI..STATF.MF.INT8 {CONTINUED)
FOR THE YEAR ENDED31ST DECEMBER 2024
SUPPORT COSTS
31.12.24
31.12.23
Wages
Social security
Pension5
Bartk charge
Insurance
Postage and stationery
Compuier costs
Sundry expen5e5
Facility costs
Equipment hire
Telephone
Trainiiig
Legal and profe%sional fee5
Deprecsation
Accountancy fees
65,431
6.632
1,541
323
1,841
2,647
9,697
488
604
126.788
12.068
3,082
418
2,295
873
6,902
808
5,272
158
874
866
25.397
1,160
2,940
1,120
497
21,513
1,250
2,470
116054
189901
NET INCOMEI(EXPENDITURE)
Net in¢tsm&{expenditure) is stated after ¢harging/(creditingl'.
31.12.24
31.12.23
Independent examinatEon fee
A¢¢ountancy, b(K)kkeeping and payroll fees paid to independent examiner
sso
550
1.970
10. TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remunetation or oiher benefjts for the period ended 315t December 2024.
Trustees, expenses
There were trustees, expenses paid for the peTiod ended 31 December 2023 of £2.471.42, Board meetings were held
online. TTUStees' expen.se5 paid for the penod ended 3151 December 2024 are included in travelling costs (section 7).
They amollnted to £3,639.15 for the period, th55 included travel atjd. whett necessary* accommodation expenses for
attending Boaid Meetings 01 in official support of FWP events.
12

FIGHTING wi'fm PRIDE
OTF.S TO TIIE blNANCIAL sTATEl￿NTs {CONTINUED)
FOR TEIE YEAR ENDED 3 1ST DECEMBER 2024
II. STAFF COSTS
31.12.24
31.12.23
Wage5 and salaries
Soctal %ecurity costs
Other pension5 costs
388,613
33,208
8,721
446,167
38,207
9,793
430 542
494 167
The average monthly number of employees dllring the period was as follows..
31.12.24
31.12.23
Veteran welfa
Management and Administrdlion
10
12
12
No employee5 received emoluments in excess of £60,000.
12. COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Period
01.11.22 to
31.12.23
Total funds
Unrestricted
funds
Restricted
nds
31.10.22
Total fund8
Note5
INCOME FROM
Donations and legacies
41,150
41,150
14,744
Charitable actlvltles
Veteran welfare
133.586
502,105
635,691
517,124
Investment incom¢
Total
174,730
502,105
676.841
531,868
Expendlture oll:
Charitable a¢tivitles
Veieran welfare
174.745
489,741
664,486
380,298
NEI. IINCOME
{91
12,364
12J55
151,570
RECONCILIATION OF FUNDS
Total fund5 brought forward
111,096
195,136
306,232
154.662
TOTAL FUNDS CARRIED
FORIVARD
16
111087
207,500
318.587
13

IGHTING WITH PRIDE
NOTES TO THE FINANCIAL STATEMENTS {CONTINUED)
FOR'fHE YEAR ENDED 31ST DECEfwlBER 2024
13.
TAF4GIBLE FIXED ASSETS
Computcr
equipment
Cost
At I"January2024
Additions
As at 31. December 2024
3,750
3.750
Depreciation
At I" January2024
Charge foi the year
At 31. December 2024
1,458
1.250
Net book value
Ai 3181 December 2024
At 31" tkcember 2023
14. DEBTORS
31.12.24
31.12.23
Prepayments
312
598
312
598
15. CREDITORS: AMOUNTS FALLING DUE WITHJN ONE YEAR
31.12.24
31.12.23
Social Security and other taxes
Other creditors
9.904
S,041
4,172
4,172
14

FIGHTING WITH PRIDE
NOTF.S TO THE FINANCIAL STAI'LI MENI'S {CONTINUED)
FOR THE YEAR ENDED 31ST DECEMBER 2024
16. MOVEMENT IL¥ FWIDS
At 01.01.24
Net
movements
in funds
At 31.12.24
Unrt$trieted
General fund
111.087
13.012
Restricted funds
AFCFT
Community Surge Funding
CTM
Force For Change
Funding forTravel Expenses for Vetetans
FWP Research Programme
Joumey Home Project
Pride in Veterans Standard
Research Project
Royal Air For¢es Association
Veterans Financial Advice Service
Veterans People, Places and Pathways
1,374
(1,000)
13,000
(1,0001
(6,000)
1,374
1,000
13,000
7,000
8,000
6.000
20,000
4,000
16,775
(4.0001
36,775
168,500
207,500
A63,070
221,219
13,719
TOTAL FUNDS
318 587
234 231
Net Tllovement it) fiinds, included in ¢he above are as follows:
Resources
expended
l¥lovement
in funds
resources
Ujirestricted
General fund
145 666
Restricted funds
AFCFT
Community Surge Funding
CTM
Force For Change
Funding for T￿Ve1 Expenses for Veterans
FWP Research Programme
Joumey Home Projeei
Pride in Veteran5 Standard
Research Project
Royal Air Force5 A550ciation
Veterans Financial Advice Service
Veterans People. Places and Pathways
77,250
75,876
1,000
lJ74
(1,000)
iJ.000
(1,000)
(6,000)
13.000
1,000
6.000
37,660
20,885
4,000
16,775
(4,000)
181,469
186,899
(5,430)
309
79
295 660
455.045
539 401
84,356
15

FIGIITING WITH PRIDE
NOTES TO THE FJNANCJAL STATE1￿£￿Ts (CONTINUED)
FOR THE YEAR ENDED 31ST DECEMBER 2024
17. RELATED PARTY DISCLOSURES
The￿ were no related paty iransactions for the year ended 31sI December 2024 01 the peiiod ended 31 December
2023.
16