REGISTERED COMPANY NIMBEIL. SC137686 IStotlaDdl
REGISTERED CILARITY NU.MBER.. SC020J16
AH&CoLtd
6 Lowe Mill
EdinDurgh
EH7 4HG

Finaftc
31 Decem
Report of thtTrust¢
Ststem¢DI of Fu)￿C￿ Ac¢i*itits
Balan¢¢ Sb
Notes tothe Fljwcj￿ S¢a*#*Lts
7 to 11
Detsii¢d Swthmtntof FiDon¢ial Atyiviii¢s

French
inistrativc
31 Dece
theYtsrE
TRUSTEES
Rmo
T A Chllurin
EJ MwtiNw)re(rtswd 25.7.25}
D B F Ka)e4nbe
E.M Cb¢g¢
S ElaTJiS lappoin*d 1&4.261
l R LeBn¢t¢(wintrJ 16.4.261
RtGISTERLD OFFICE
6 Low"e Mill
E41inburyb
EH74HG
RZGISTERED COMPANY WUMBER SC137686 Iswthndl
REGISTEREDCItARrrY NVMBER SC020116
INDEPENDENT EXAMLNER
AH&CoLtsl
Cb•rr¢rtyJ Acwun1*7ts
6 Lo8ie Mill
Edinburgh
Lothian
E117 4H
BANKERS
Bank of sco￿1￿d PLC
38 Sr AJ)drM SquJr¢
Edinburgh
EH2 2YR

Film F
rtof
ear Eoded 31
forth
The trUSEees who arv aLw dire¢tor5 of the thariry for the p￿rr￿Sts ofthe Comp8NiC5 Act 2(IkS. pr¢%tsi thew report witb th¢ financial
SEatemthts of the ch&ritv f¢T th¢ tndtd 31 Deeerolw 20?5. Tr ttwtrts have adopr¢d thc provision% of Accountin? 2nd
Reporring bv Chkntscs.. Sratern¢nT of liccorn￿ PActice applitable ro chariti¢s PToaring their a¢¢ounts in accord&ne¢ with th
Pinanc?al Rtportin8 Stsndgtd oppliuble in th¢ UK and Republic of Ireland IFRS 10?) (effective l January 202?
OBJECTIVES ATr4D ACTIVITIES
Objettives and *Jms
The obje¢tiv¢ and activtty of tht cknity is ￿PTE￿I French Film Festi￿1 woss th¢ United knngdom.
ACHIEVEMENTS AhT• PERFORMANCE
Cbarltsble *ctivitieA
During 1hcYt￿ urtd¢r ￿VIew, th¢ gJ¢¢¢ssfulty held a festiyd of Frcn¢h film a¢mssthe United KiD8dom.
FINANCIAL REVIEW
Principal fllthding sourt
The Charity raiw funds from • of￿¢¢$ thtluding Scrrt]w¥* Utti&*nce and the Frnth It￿ltu￿5. The ch•Tity aL
raises funds from advertisin8 and spoThwthip in th¢waDnu￿ prowwo
Reserves poli¢y
Th¢ %iatemcnt of FIN￿e￿ Athivi¢scs shfftthat the awity ht* resourtts of £7J13 12024.. oet outgoin8 r¢wJrces of
£2.5871. There wrp1usre￿tt 31 Dettrnb¢r2025 of£s,032120J? $ll￿1￿50r restrve5.' £12.3451.
Fund5 im dtficlt
A5 ai J I tkcemb¢r 2tr25 th¢re w¢rt no fwjds in dtfi¢ii12024". Ao fund5 w d¢fi¢ii}.
STRUCTURL GOVERNANCE AND MAWAGEYENT
Gov¢rn5n8 dotumtut
Th¢ Charity is ¢onwiied by its 8ovemin8 docuk*nL 4 d¢¢d of trusL CO&*ilute5 • limited compjny, limityj by
defi*ed by the Comppnics Acr 2(X)6.
Th¢ company ¢stsblish¢d under a MernoTaThdum Of AS￿$￿10￿ Mthich ¢yAbJisht4 the Obj#￿ and powers of th¢ thritsble
company and is Bovern¢d wyjcr its Arti¢l¢s of As50cl*ti￿. In the ev¢D¢ of th¢ conwrry beitigwouDd e￿ts mtsnber 1$ r4uired to
contribute amount ntsi exc¢¢din8£1. AS ￿ 31 De¢ernbu 2024 there ww¢six ft*mb¢
RecruÉtThTreot and appDlTrtménl Df tb¢W
New tr￿ceS *re *ppoiN¢d in a¢¢oYd*thtt the pri+VlWOnS in the Mryrnidum 8lld Articles of Association of the
tharity.
Ownjsadoftal structvr¢
The ¢harity has ￿ direcTors mee¢ r¢Bularl)'thrwghDuI the)vx. Tht board of dinaoTS is responsibl¢ forthe ovcrnll 8overnincB
of the Fren¢h Film Fe¥ival Limit¢d and for d￿t￿pEnE tht ¢hthtys iinLk Dbi¢rfives afftd g041$ in XCQTdance ￿ryth its NfernoTandum
4nd Article5 of AsW¢i￿l0nllnd th¢ n¢¢dsof its
The board 15 responsible for rnaintwni￿ the fir￿￿e￿al ￿abilIty Df th¢ Fr¢r￿h Film Fesrival Limited and for enswith8 thatthe company
cornpli¢s with its leyl ob1i8aLion& iTJ¢luding Ih>5e wisin8 frorn thaTity. eompany and unpltr>TDent I￿. The day to doy
administration and opernion of th¢ ¢harity 1$ wndu¢ied tyth¢ thre¢ dirt
Indllrtlon Ind traiTrin¥ Df trust¢¢
Tl is the comp*ry's wlicy to give new dirttb)rs a fbjll briefm8 on their obligatiODS uAdcr law on the contMts of th¢ Tn
Deed. New diT¢¢wrs are ¢5Sts￿ with awpv ofthe Office of Scottish Charilv Rc8ulaknvslOSCR)'Guidantc for Ch4riry Trnsteeg.
Rel*i¢d parties
French F'ilm Festivlll Ltd did not reLxiwe or ￿¥¢ r￿dS lo ch8Tiltes or any oTg*Lisation whi¢h any of Ihe dire¢wrs 8Te
ass￿lated with.
FUNDS HELD AS CUSTODL4V FOR OTHE
Durin8 the year cndtd 31 Decemb¢¥2025 the charity did llDthold kndsas¢usv)diantoroth¥512024". ttill.

Fi]m F
mited
rn]m
1376
e Year Ertd
This report hos been PT¢pwed in aLY0rda￿e the PTovisions of Part 15 of the CoD)patiies Act *<)06 relatith¥ to SDJ811
mP3nie
Approved by OTd¢r of the bosrd of 29Juty?D262ts1 si￿1 on iL5 b¢￿If by:
R Mowe. Tw¢¢

ndcnt
iimF
Tuthsof
SC137686
l Linui
I reFOrt on thto¢counts forth¢yeaT¢rded 31 D￿lM￿￿o25 sxt out fiveto el¢Tr*).
Rtspeetfve responsibiliti¥ of trusttts Ind tumiDer
lThe charitys tnw¢cs are reSpO￿51b1¢ foT the prep￿￿10￿ of ￿Ct(￿￿$ ￿ accorthc¢ *ith the tetrns of th¢ Charities and Tn￿rtt
Investricnl IScoUaDdl Act ?(X)5 and the Charitics Attounts {Scoilandl R¢gulau{￿￿ ?006 (as amendcdl. The ckwity'$ trustees
tonsidtrthat th¢ audit requiTem¢ni of RcRulatiorL 10(IXal to Ic)of tht AccouDLs RegU￿10n$￿Oes not apply. It 18 my re5PDnsibibty to
exAnJirtt the acc¢unty as r¢quired undtrsccrion 44IIM£l of th¢ Aci and ttsstwc whether partityJ]arn￿￿ have ¢ometo rn>'attention.
Basb ofthe ÈndependtDt tumih¢r's r¢pDrt
My a￿￿nIn￿10n was wi¢d tsJt in *Cord￿¢ Thith Regulation 11 of th¢ Thwitifs Ac¢ounts 18wdandl Re8ul¥¢ions )IH)6. An
examlrtation includes ¥ Teview of th¢ atrounting r¢ords kepi by the cknity and & CODwatison of the &C￿vAts PTcsent¢d witb those
re¢ord& It in¢lud¢s con*d¢won of an) or dis¢lowres in th¢ &tou[￿S 4Dd x¢kiDs cxplanation$ fro]n >ou &4
tTUStees ci)n¢trning any Matte￿ Th¢ prD¢cdm UDd¢nakn do prwde all the evidenc¢ that would b¢ r¢quired in an audii
aad ¢on5cquenil> I do noi vxpre&%o0 wjdilopinion on thrvi¢w 8iveTr by th¢
IDOtPEudeDt exaMithtr'5 rt*tem*tt¢
In conneciion m} e%anUnaiio￿ no mw¢r hastomt to my ￿entiOn..
111 8iv¢sme rtasonable cwJs¢ lo b¢Ji¢ve th*. in &Dyn>￿rni restt¢L the rquir¢rn¢
keep *CCOUDiinz [t￿rdS in a¢¢ordantt with Seuioth 44IIKAI of tht 2th)5 A¢t •Dd Rtgullltion 4 of the XJ06 A¢cotmts
Rtgu]8tions- and
10 pr¢paTe a¢counts K¢ord wtth thp attouniitt8 atyj w ¢4Jryly with Rwlhuon 8 of tht 2006 Ac£ounts
R¢BuLqtions
have not be¢n m¢r ot
121 to in rny DpEni￿ ffjeniion slkiyld be drnwik in0rde1￿ tlltsb￿ • prow UDdeTwdin8ofthe tttuunLS ￿ be re4cW.
Colum AnQ¢t¥on CA rfA
Tht Instiiuie of Ch¥Rred AtCOtsntsDrs ofscotknd
AH&CoLTd
Charter¢d A¢¢ountsnts
6 tA)8ie Mill
Edinbur8h
LoEhian
EH7 4HG
29 July 2026

French
i of Fio
]ncome
l Acrivjij
ratin
31.1? 25
31.12.24
Tots]
fimds
fu
INCOME AND ENDowME￿fS FROM
Dortalions and l<gacies
46.050
44.645
Other trndinxo¢uvirSts
35J95
37,044
Total
81.645
81,6g9
EXPENDITURE ON
Charitable activities
FT¢n¢h Film F£w¥ai
8&958
84.276
NET INCOMEIIL¥PENDrrLREI
17J131
12,587)
RZC.ONCILIATION OF fur4DS
Total fuTrdg brought fon4trd
1&932
TOTAL FUNDS CARRIKD FORWARD
5.032
12.345
COI¥TINUING OPERATIONS
All income and exp¢ndiiure has arim fromcfjniinuthg a¢uw¢&

202
11.12.•S
3l.l?.24
TothT
fund5
u]￿eStriCtto
fvttd
Notrs
CLWiENT ASSETS
L)¢btors
C￿h ¥¢ baDk
13,424
7,752
1&632
?1828
CREDITORS
AmouDts fallingdu¢ ￿7th1n 0￿year
10
(11.600
110,4831
NET CiIRRENf ASSETS
i.032
11345
IOTALASSETS LESS CURRENT LtABILfTiLS
5,032
12.345
NET ASSETSIILIABILITJfS)
5.032
12.345
UNDS
Unr¢stri¢ttd DJDds
5.032
1?,345
TOTAL FUNDS
5.032
12.345
The ¢hBTitsbl¢ is to ttethwion from I￿j11 wjder ￿¥10 477 of the Cowies Att 2￿ for the year ended
31 Dec¢mber2025.
The m¢mbers have not requittd tht ￿MP￿Y 10 obtiin an ludtt of its f)nuKi￿ 4atetn¢nts fw th¢ w ended 31 Decthber 20U In
a¢¢ordanEe wtth Section 476 ofthe Compani¢sA¢r 21K¥>.
The trnsttts acknowled8c th¢irw$ibiliii¢s for
ensurin8 that rhe charimble ¢ompth>'ke¢ps rtcuds th&iegmplywth Se¢titsts386 and 387 of thecornpanles Act
2(Q6 aftd
proparin8 financial stskments whichBiv¢ a fairvitw of the sratr ofaffairsof th¢ C￿n￿ble comp•ny as It thc end of
eath finBncial year of its surplus or d¢ftcii for etrh fiTW)¢ial in aLtordan¢¢ with th¢ r4uire)WLS of SeciioD$ 394
Dnd 395 and whtch othttwi5¢ comply the Tewtuemeths of the Companies Att 2(W rrltit¢n8 to fuwti￿ tstem￿r¥ $0
fEr&s llppli¢able ro th¢ ¢h￿lIable compw.
Ibl
Th¢5¢ finllncial SEoiements have beal PT¢Pthtd ￿ •¢¢wd*Kt with th¢ w0￿S•Dn5 appliubl¢ to ckniTabl¢ ¢ompthies #ubject w the
small cornpanie5 Tegiffte.
The fittan¢ial s¢at¢wKMs wu¢ appTtsv￿ by the Bowd o(Trum¢$ Ind wthtiTised isgje on 29 July 2026 aftd were $ip)¢4 its
b¢h&f by..
R Mowt- Tnw¢¢

FesEiYai
the FiThanci
ded31
Sts
they
ber?0
ACCOLTrmNC POLICIES
Basis tsfprepllriDg the fiD•nci*l stst*iibt•ts
Th¢ financi￿ stattrn¢nts of the Chari￿.. wluch w * public benefft under FRS 10? h&v¢ b¢¢n prcpared in acwrdance
sTr7th the Ctrjarities SORP IFRS 10?I'Accovniin8 and Repoting b}. Charitits". Ststemettt of Kt¢ommended Pra¢tic¢ applicabl
J tht UK and ktyublic of Irelaad IFRS 10)> l¢ff¢¢riv¢ l Jatllwv ?th??I'. Finan¢ial Reponing Sts￿dard 102 Tre Financial
Reportinp Stsndard applicablc in the UK xod Rcpublic of tr¢JarKi' and the LbaTiii¢s and Inves1ment IS¢oiiandl Act
2￿5 and th¢ Charities A¢counts (Scod8]￿l Regul￿]0￿* 2M6 (as an*Ddcd 20161. The fiD￿¢la1 ststcn*nts huv¢ bee
prepared wjderthe h1s1ori￿ cost conv<￿iOn with th¢ exceptim of invc*ments wjuth are included atjnarket v￿U¢.
IThcom¢
AU i￿(0￿e 15 T¢¢0￿15￿[ tn th¢ Stalemeni ofFij>anc￿I A¢iivities once the ¢bariLy h*$ umid¢rr*D¢ty th¢ fund& it i$ probable
that tb¢ in¢o]nc be rtteived and th¢ *noun¢tw bejr￿￿ed reliably.
ExptuditurE
Liabiliti¢s are rtco8nis¢4 85 e¥l￿dI￿r# &8 swn •% th(¥e t5 a I￿ w tOllSEnxtivt obl1￿110D commiiTIrt8 th¢ ch￿tty th that
¢xpÈnditu￿. it is probable that 8 tr4rnrfer4)f ￿Orni¢ b¢JxfJts wi]1 b¢ requ￿e￿ ID settl•menr arKI th¢ aMOLU￿ of the obli8*ti0
can bc tne&wr¢d reliably. EYpMdimTe is ￿0￿ntrd for aC(D￿S b45is and h*4 b¢¢n ¢Jt8sifted uftder hcadiD8S tha¢
all cost rel?trd ￿ thc category. Whtre ¢OAS b¢ dtrttuy auriblltrd to pthicuiar he8dj.ngg they h*vt ty￿￿
Allo¢aied to Xtivitieson a basis ¢onsi$t¢N￿th the of r¢yJu
GovernaD¢¢ costs
Governan¢t c¢>sts eomprist all involvins wbl* actoumbility ofth truA4nd its cgrDpii•n¢¢ with rwlètion and Bood
Prnclictt Th¢K tOSL4 in¢lud¢tOWTel•MTh8 prepaml0n￿d l¢pJ f#$ Wrwith kn apportioom¢nt of
overhead and sllpport etssTS.
Ex¢mpiion from prtpxriDIA ush now s¢*t¢r4•pt
Exempiion hL8 tak¢D from pr¢pring a wh llthv srlltrmeni M the thc wmp￿Y qualifi¢s ￿ a smill
¢ompkn>'.
V•lwe Addtd tsx
Tht tornpanv is noi rew#¢red for VAT4nd a¢cordin8ty ¢xptsditiwc in¢ludtts VAT thre apwpria¢¢.
T4x*iio
The cliarit¥ 1$ exempl from corpDrntioD on its th¥it4bl¢ ￿l¥ll1t%
Fund *tco¥ndD8
Unrcstri¢i¢d fiinds con be UL ￿rd￿¢t with the thritsbieobit¢tiw¢s* the discr¢uon orth¢
Itnjncial iSS¢rumeAts
The ¢omp*ny only ha5 &￿t$ and financi￿ liabilities of 4 kind thDt qu￿lfy as btsie fin•D¢1￿ instrutttents. Basic
financial inmmentsare initiallv reco8nis¢d w tra1￿U0￿ vaJu¢ and sllbseqllendy mea¥Jred aithelr settitmeni V￿u#.
ProvisloDs
Provisions are ￿¢08Th15ed when th¢ cornpw h*5 a prese￿ obliwitbll Ile8ai or COOStsucii¥¢l Bs o result ora past evtnL it 1$
probablt that the compgny will bc rCq￿I￿a to sett]e th* obli8atiorJ a r¢liable estunatr c¥n b¢ m&Jt of thc •nount of tbe
obli8aDofi.
The a￿>￿)1 ret0￿j]sed 9$ a Provi￿0￿ is tht b¢a e#imate of ¢h¢ ￿1Nduation required tD th¢ present obligation ￿ th¢
b¥ltsnce sheet da¢¢. tsknn8 into the risksand Un￿l￿tiCS ￿￿￿nd1￿￿the obli8a¢ion.
contiDU¢d..

FiknF
Nokgw the
e Year
31 Detttn
IK)NATIONS AND LKGACIES
31.1215
31.1224
45250
Advertisi
44.195
450
4&050
44.645
OTHER TRADING AcrivmEs
31.12.25
31.12.24
Privgtc Sponsorsh
Box Office
1&484
20,560
19,483
35,595
37,044
CHARITABLE AcrivrriES CO
Suppo
C4ws I
no¢ 51
Dlrt
French Film FtSEiV•]
83,676
5282
88.958
StJPPORT co*rs
fjov¢rnanct
¢ow
Frenoh FiLrn Festiwl
5282
Support<0s￿ in¢luded ID thc 4bov¢, 4r¢ ts followE
31.12.25
31.12.24
French
Film
FeSEiV4J
To¢al
*rtiviti¢s
A¢¢ounTancy
Independ¢ni examinBrion ft¢
Bookk'eepiDE & pawll
1.722
2.204
273
3,220
5282
5,699
TRUSTEL8' REMtrN%RATION AND BENEFrrs
JknifigtheyetrT¢mwwation ofa080was wd to R Mowe12024.. £62501.
continued...

c￿1¥&1
Notrg
Stste
31 Dcttm
?0?5
TRUSTEES. REMUTr4TRATIOY AND BENEFITS_eomtlDue
No trJste& ¢xpu￿5 were paid in theye4re]th 31 Deranbu2025 orthe priorye*.
EMPLOYKFS
The av¢r3genuMb￿of empjoytts dw1ngthey￿W0S 212024.. 21
COMPARATIVES FOR THE STATEMENT OF FtNL%cIALACTtV￿lEs
Unresrrictcd
INCOME ATr47) ENDOWMEP¢fS FROM
Donations 8ThJ Itgaci¢5
44.643
(hh¢T tradin8A¢livitiC5
37,044
Total
81.689
￿￿ENDITuRE ON
Charit*ble activi￿
Fr¢ntsh Film Fésiival
84.276
NET INCOMFJIEXPENDITUREI
12,587)
RECONCILIA TION OF Fuf•DS
Total fllnds brou8hL forward
14.932
TOTAL FUYDS CARAIED FORWARD
12.345
DEBTORS: AMOUNTS FALLJNC DUE wmipi 0Tr4E YEAR
31.12.25
31.12.24
Trade dtbioTS
A¢¢rued in¢om¢
8,424
8.880
13.424

Film F
Fin
orthey Endajl
-COn
io.
CREDITORS: AMOUNTS FALL￿G DUE IIryTHIN O¥K
31.1? 25
31.12.24
Trade credilDrs
Business ehargc card
S￿181 srcurit) JndothtrTLX£S
Atctued ¢xpeoscs
653
173
1.907
7.750
567
1•40
1.5
11.6th)
10,483
MOVEMENT ty FU.YDS
Al
31.12.25
Atl.1.25
in funds
UttrtstriEtsd
Gene￿ fund
17.3131
5.032
TOTAL FUNDS
17J131
3.032
N¢t tnovtmM¢ in n￿lUd￿ in th¢•bove*r¢ follo￿.
Tncominl
Resour¢es
Movement
fund$
Unrtttritted
Gen¢Eal
81.645
18&9S81
TOTAL FUNDS
81.645
188,9581
CouJpar*tives for movtiiiool In fundi
mow¢M
In funds
Ai
31.12.24
A¢l.1.24
UArtstricied fufyds
Gerwal fund
14.932
5871
12J45
TOTAL FUNDS
14.932
115871
11345
ComptiMiYE n¢1 JwTrrmeDtia inc]thd in theabov¢are 4$ foll
EDcomi118
Movm¢nt
in funds
¢%￿nd
Unrtstrict¢d
G¢nerdl fvnd
81.689
184276
1158
TOTAL VLryDS
81.689
1842761
IZ.587)
Pa8elO

Film F
tts th¢ Fin
forth
nutd
MOVEMENT IN FUYDS-toAtinued
A currem y￿r 12 monthsand PriOTvear 12 months c(ubuteO position lollow
Net
At
31.1?.25
1.1.24
in fi￿d5
Unr¢sfritted
Crtnclal fi￿4
14.932
I9,￿)}
5,032
TOTAL FUNDS
14.932
19.9)01
5.032
A QUTrenryeaT I? month$8nd prioryttr 12 rrthths ¢ombw*d netmovuwi iD¢luded in th¢ abovc8rtL5 follow
Incomtnz
Rests￿¢$
Movern¢nt
in fuDds
U#rostrici¢d fvuds
Gen￿ lI￿d
163,334
1173,2341
I9,￿0)
TOTAL FUNT)S
163J34
(1732341
19,9001
12.
RELATED PARTY DJSCLOSURES
In the yw 10 31A Dtt¢mbu 202S. Te1]wrt￿ of r1080 w*$ wd to R Mowt12024.. £6J50 remurmtlon paid to R
Mow¢l.
13.
ULTIMATE COYTROLLING PARTV
There is no uliimait ¢tsnirollin8 party.
CAPITAL AND RESERVE
14.
The Company is limii¢d by 8uar3nt¢ts tsf £1 p¢r n*mber *KI has share ¢•pitsi. Ar 31 Pe¢￿b# 2025 ther¢ five
membeTS of th¢ company Ihewtotsl li•bility ar thpt d￿¢ M*%£S12024.' Stx mernbus whose liability ￿￿$ £61.

T ?025
31.12 ?5
31.12.24
INCOME ANY) ENDOWMKYTS
DonatioTr$ and Iwcies
fjr8nts
Adv¢tti5ing
44.195
450
800
4&050
44.645
Other tr•dln8 *diviti¥
Pllvat¢ Sponsorthps
ox Officc
16.484
20.560
19,483
3S.595
37,044
81.645
81.689
EXPEYDITURE
ChArltabl* *rtivitl¢s
TrusTets'.salari¢s
Posrag¢ and s¢ariM¢ry
Advertising
Film hiT¢
Film rrdnsp)n
Bro¢hute design & printi*g
TAVtI ￿￿￿Se$
Ac¢omrngd4tion
Hospithlty
Bank Eh￿
Wa8e$ and mI￿leS
Compuier Co$
Contrathor p#)Thth)ts
Additional film ¢0
Cinema hir
Subscriptions
2.080
233
7.546
19.426
5.472
6,368
1.084
240
444
6.2$0
3.700
?0.533
6.001
4,680
1.058
406
27.246
1.334
350
2.943
2.586
27.(K
1.304
6.393
3,204
450
83.676
78.577
Support ¢o*ty
GovernAthtt
Accountan¢y
llldependent examinauoD f#
BoDkkwing & p&yroll
1.722
300
3260
2,204
275
3.220
5,282
5,699
Totsi rcsourt¢s expeDded
88.958
84.276
expendithr¢
17.3131
12.58
P88c 12