REcisfERED COMPANY NUMBER: 2548383 IEnglaDd W•les
REGISTERED CHARITY NUMBER.. JOOO578
rt ofthe Trvstees ajd
UD*lldited StatrmeTrts for Iht #r etyd
31 Mareh
For
The P•ve
Relief FOu￿￿￿tiOn LiThit
"ACFQW5K"
l)f411r2023
COklPANIES HOUSE
Wa]kets Accountsnts Limitrd
AiT¢$ide HO￿se
Royd Ings Avcnuc
K¢igbl¢y
Wesi Yorkshire
BD214BZ

Conlents of the FinaTrcial Staternejhts
for
P•g¢
Report of the Tn￿let$
1103
Indes*TKlent Examiher's Re￿rt
Statemcnt of Financial Adivilies
Balan¢c Sb¢et
Noie5 10 the Financial Stht¢rn¢nts
7t08

The Pove
Relief Foundatlon Limiied
ort Of the Trystees
txr ended 31 M*rcb 2023
for the
The tTUStees. who are also dir¢¢tOTS of the ¢b¥rity for the PUTposes of th¢ Companies Aci 2006. present their report with the
financial sratements of the cbarity for the year ended 31 March 2022. The fiDaD¢ial stst¢m¢fjts ¢omply with the Charilic5
A¢1 2011. th¢ Companies Act 2(N)6. th¢ M¢rnwandLUn aTLd Articles of Association, and Actountjng and Re￿rting by
Charities". Stai¢m¢ni of R¢¢ommended Practict {SORP) applicable to charitic5 preparin8 their accounts in accordance with
the Financial ￿￿ort1Th8 Sthndard applicable in thc UK and Rcpublic of Ir¢land IFRS 102).
REFERENCE AND ADMINISTRATIVE DETAILS
R¢gi$i¢red Company #umb¢r
2548383 (Engla￿1 and Wales}
Regijtered Charity numbtr
lo(￿578
Reglsiertd offiet
Suite 3
Airt5ide Housc
Royd Ing$ Avenue
Keighley
West YorkshiTe
BD214BZ
Trustees
Kathn Harr¢ither
P J Milli¢an
R Row)n and Company Sw¢tary
lttdependent Exarnlner
Miehael William Prncter FCA
Clo Walkers A¢countsnts Limired
Aireside House
Royd Ings Avcnue
K¢ighley
West Yorkshire
BD214BZ
STRUCTURE. GOVERNANCE AND MANAGEMEf4T
GoverniDg document
The ¢harity is Controlled by Its governing do¢u]t￿L a deed of *)d COn$tiftLtrS 8 limited company, limit¢d by
guar•)t¢¢, Is defined by the Cw8nie5 Aci 21X)6.
Risk management
The rrustees have a duty to idtDiify and rcvicw the risk5 to which the Charity 15 CXPD5cd and to cn5urc appropriatc contro15
arc in place to providc rcasonabl¢ assuran¢¢ against fraud and ¢TTor whjeh rtfl¢tt ihe size of the charity. Prtsjects ¥¢ only
und¢rtak•) on¢¢ suffici￿1 fimds have been raixd and vislts are undertaken to ensure thai the Work ha5 been comple*d.
OBJECTIVLS AND ACTJVITIES
Summary of Objeetives of the Charlty
The charity is committed to the advatKern¢nt of bct*r living 5tsrKlards for the poor and nEedy in Tanzania in the Lth¢
Victoria region.
MgiTh Activitie5 Undertaken
In plantling our activiti¢5 foT the year. w¢ k¢M in mind the Charity Commissitsn guidance on pjblic benefit 81 Our tiu4ee
mttiing. The focus of our a¢iiviti¢s remains th¢ provision of ¢l¢•n wat¢r to the peopl¢ of Tanzania.

The Pove
Relief Fou&dation Llmittd
Rt ort of thé Trustets
ear tDdtd 3151 01 M*rth 2023
Povety Relief Foundation (PRF) 0￿rat¢S in th¢ north- w¢sl¢rn Provi￿¢$ of Kagria and G¢ila a5 well in th¢ north ¢451un province of
Mar4 Tanzania. In the year l April 2022 to 31 March 2023 PRF b&$ funded 9 wells ID Iht two re8ions of Kagera and Mara.
The wells art in the followittg villages.
Rubanga (K) 2022
Darajani (M) 2022
Luore IM) 2￿22
MurubondeJMunJbaniy¢ (K) 2022
Nyangabi IMI 2022
Manddi8a (M) 2022
Nyabihan8a Kati (K) 2022
Mkoani IK) 2022
Murukakamo (K) 2022
All the wells have been ¢ornpleted and are optming. though M of them- M￿dIga artd Rubang•- are not operating the woy they
should. Wkni15t an impTovemenl in the pump is Teq￿l￿d for th¢ w¢ll at MandiB3, an extensjon of rings is required at the well ai Ruban88
so that lh¢ arnount of wa*r whirh tan be drdwn is suffitieni for the village. The COM of the completion of the 9 wells. excluding the
aforementioned exkn ¢osts al Mandig4 and liub•ny w8$ £21,280 cotwsing:
5 new wells in Kagera completed 6° June 2022 at a CDM of £1 l.OSO.
4 new wells in Mara cornple*d 16 June 2022 al a cost of £10230.
The last PKF ficld trip wa5 in O¢tobeT 2022 and in¢]￿led the vi*tatioD of all 3 regions where PRF 1$ operaftng. It was dotte by Karritt
Harreiiher (accompanied by her stsn, Arth) Karkml, Fath¢r HothoTaftLS Ndaula (main corttaci in Kagern and Gelts regions). Seleman (our
eDgin¢er in Geiial. ETnmonu¢l (our etsgu)¢¢r its Ka8era), Antholly and FokaDya (maiD conracts ID Mara). A iotsl of 32 new wells have
been visiied. All of them are opernting bar the two mentioned abo￿. In addition io thc 32 ncw wells. 2 old wells {MwalolKasela and
Mtaa wa Afya} have been visited a88in since they also needcd an extcn5ion of ring5. Thc5e are now opcrdting p*rfectly well and
draw 4 5ufficienl arnount of water. In athliiion io the a￿ve. 37 potthtial new sitrs have be¢n visitrd whicb will qualify ftir fvDJre PRF
proJ¢¢i$, albeit with different levels of priority. The ￿tal any)unt of wells in Tanzania is now 284.
PRF also visitcd 5 womcn ￿￿pS in the two rtgi0Tr5 of Kagern and MarJ. 2 of these gTOUPS have bccn 5UPWrtcd by PRF over the l¥st
hvo years. Both are well organised and opcrating positively. The other 3 have been supporte41 by differeni orgaDisations over the years
bui have beeD Seek￿ ￿siS￿nCe from PRF with their operdtiOII$.

The Pove
¢li¢f Fo
d*ti
rt offhe Trustee5
f•r tbt é*r tndtd 3111 tsf Marth 202
PRF thank all those who have rnade don•iions #s without theirgenemsity it would t￿1 be p)ssibl¢ to ¢atry out these pmj¢¢rs providing
¢l¢an w¥leT, ¢lassTooms and I￿￿$ to women's groups.
SL8ne
beha
of ihe Tn]stee5 of Poverty Rclicf Foundation
R Rowa
Secretary ￿ PR
25th (ktober 2023

de
¢ndtnt Examitt¢r'$ R¢
ort ¢0 ihe Trw$t¢
The Pover
Relief Foundation Limited
Independent ex*min¢r'$ r¢port to the trnsttts of Th¢ Poverty R¢ll¢f FouDdati&D Llmlt¢d ('Ih¢ Compathy
l report to the eharity tnlsiees on my examination of the ac¢ounts of thc Company for the year ended 31 March 2023.
Re4>oniibilitie5 and b*sis •f report
As the ¢haTity'5 tTUSte¢s of ihc Company (and also its diTe¢tors f¢￿ thr PUTPOSCS of ¢ompJny law) you are responsible for the
preparatiou of th¢ a¢¢owits in a¢cordan¢e with the re9uJrwnts of the Compathies Act 2(X)6 (Ib¢ 2006 A¢t).
Having ￿tI$fi¢d myself ihai th¢ a¢¢ounts of the Company are twt requjffd 10 b¢ audite4 und¢1 Port 16 of the 2006 A¢¢ and
are eli8iblc for independent examination. I rcpon in rcspeci of my examination of your charity's 8ccounts as cattied out
under setliott 145 of the Charities Aci 2011 {Ihe 2011 Act?. In taYryinB Out my ¢xaminaiion I bave follow¢d the Dire¢tion$
given by the Chariry Cornmi55ion under scction 14515) (b) of the 2011 Aa.
Independent examlner'j statement
I have completcd my exarnination. I confinn no mattcr5 bave come to rny attention in connection with the examination
giving me taus¢ its bclieve:
accounting records wett noi kepi in rtspect of ihe Company as wuired by s¢¢t•oti 386 of th¢ 2￿ Art,. or
th¢ accounts do not accord wtth tho% r¢cords.' or
the accoutsts do not eoty)ply with the accounting requiren)ents of s¢¢tion 396 of the 2006 Act tsth¢r Ihaj) any
requircmeni that thc accounts give a tnx and fair view which is not a mattcr considered a5 part of an independenr
examination. or
the accounts have not bc¢n prepared in aCCOTdanc¢ wilh thc m¢lhc4Js and princip1¢5 of the Sthtemenl of
R¢¢otlb￿¢￿dtd Pwti¢¢ for a¢¢ountirtg •)d re￿ing by ¢h•rities (appli¢abl¢ to ¢haTities preparing the￿ accounts in
accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102)).
I have
o concerns and have come across no other matters in connection with the examiDaiion to which attention should b¢
rt this report in order to enable a proper understaTvJin8 of the octounts to be teached.
Michael William Procter
Walk¢r$ A¢¢owJtants LiJnit¢d
Airesidc House
Aireside Business Centre
Royd Ings Avenue
Kcighlcy
West Yorkshire
BD214BZ
25" Ociober 2023

The Pove
Relitf Found*tion Limi
tgtement of Financial Attivities
for the
e•r eDded JI Ma
31J23
Unre5trfcted
3J.3.22
Total
Funds
Notes
INCOME
General dmations
Inv¢$tm¢nt in¢om¢
31,590
96
57.887
TOTAL INCOME
31,686
57.898
EXPEP4D£DJTURE
Exp¢rtdi￿re charitable activities
21280
38.180
NET INCOMEI(EXPENDITURE) AND NET
MOVEMEwf Ip4 FUNDS
10,406
19.718
RECONCILIATION OF FUNDS
Total funds brt+ughi fomrd
23.179
3.461
TOTAL FUNDS CARRJED FORWARD
The notts forn part of th￿¢ financial statements

ht Pove
Relief L4mlted
Balanee Shee¢
At 31 Mzrih 2023
31.3.23
Unrestricted
fund$
31.3.22
Total
FuTrd5
Notes
CURRENT ASSETS
Cash at bank
TOTAL CURRENf ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
33.585
23.179
NET ASSETS
THE FUNDS OF THE CHARITY
Unrestricttd fijnds
TOTAL CHAIUTY Fuf4DS
The charitable company 15 ¢Dtiikd to ¢xempnon from audii S￿10￿ 477 of th¢ Companies Aa 2006 for the year
erwjed 31 March 2023.
The ¢wste¢s have not required thc chaTitablc COTDpany kn obtain an audil of its financial ststements for the year ended
31 March 2022 in a¢cordance with Section 476 of the Cornpanies Aci 2(XJ6.
The trustees acknowled8e their resKX)nsibilities for
(a)
cn5uring that thc charitable company ktcps accounting records that compjy with Scction5 386 and 387 of th¢
CompaJJi¢$ A¢1 2Th)6 and
preparing fmaDcial swements which give a and fair view of the of affairs of the ¢haritable ¢ompany as at
th¢ ¢nd of ¢arh finaTL¢ial y¢ar and of Its in¢onJ¢ and ¢XPEnditur¢ for ¢ach fjnanrial y¢ar in accordanc¢ with the
reguiremcnts of Seciions 394 and 395 and which othcrwisc ¢omply with the Tequirtments of the Compatties Act
21￿6 Telating lo financ￿1 staiem¢nts. 50 fara5 applicable ty the dwi'rabl¢ company.
Ib)
Thes¢ financial statrmtnts have btcn prepared in accord￿ with the wial provisions of Pan IS of the Companies Aci
2006 T¢latiDg to small tbafitabl¢ ¢ompaoi¢s.
atements w¢rr appToved by the Bo¥d 0fTn￿ on 25 octob￿ 2023 and sI￿¢d on behalf by..
R Rowan-Truste
The notes forn) part of these financial statcmcnts

The Pove
Relief FouTrd*don Limited
l¥otes to the Financi*J Statements
for the
e¥r ¢nd¢d 31 Marth 2023
ACCOUNTING POLICIES
Aceounting eOXVthlio
Th¢ fjnatscial staiemenrs have been prwed under the historical COA convention with items Tecognised ai c051 or
transaction value unless othcrwi5e ststed in th¢ r¢l¢vant note($). The finaTh¢ial stst¢m¢nts hav¢ bE¢n pr¢par¢d in
a¢rordan¢¢ with the SiaiemeAt of Recotjjmettded Practice.. Accountiog aDd Rq)ortin8 by Charities preparin8 their
accounts in accordance wilh ihe Financial Reporting Standard applJtabl¢ irt the UK 8nd Republic of Ireland (FRS
102) issued on 16 Juty 2014 and the FinancLal Retry StaDdard applicable in the United knn8dom at)d Republic
of Ireland (FRS 102) and the Charitie5 Act 2011.
Th¢ TtlLSi ¢Ot)$tiNi¢s a public benefit entity ¥ defined by FRS 102.
The trustees consider there are no material uDcenaiDties aboui thc Charity'5 th'lity to continue as a 80in8 ¢oncern.
It) preparing the financial sta*ments the trustets have considere4J whether in applying the accounring policie5
required by FRS 102 3nd Chariri￿ SORP FRS 102 a restatrmetht of wmparative it¢ms was n¢ed¢d. No restot¢ments
were requiml.
strutture
Unresrricted funds can be usd in acc4thtt with the ¢htiTitsbl¢ obj¢¢tives at the dis¢rdion of the trusoe$.
Restytcted futKls can only be used for particular res¢ri¢ted pvryx)s¢s within the obj¢¢ts of the ¢haTity. Re$trictson$
arise wh¢ts sp¢¢ified by th¢ donor or when ffiJnd8 are raised for parn"cular tesrri¢ted purposes.
In£ome rttognitio
All income is recognised when the charity ha5 eThtitlemeni to the incomc. It i¥ probable that irKorne will b¢ received.
and the #njouni of in¢om¢ rtt¢ivable can b¢ me4sured reliably.
Donations are re¢ognised when the ¢harity hos received them likewise In￿reSt on fvnds.
Expenditthre rttognStS0
Liabiliries are reco￿lSed a5 expenditure as soon as there is a legal LW ¢onstru¢tive obligation Committing the charity
to that expenditure
Ex￿nditUre is #¢¢ount¢d for on on a¢¢nLa]s basis and has bten Clwified uDder beadings that aggr¢gat¢ all cost
related 10 the cate80ry. Where cos15 caftnoi be directly attributed to particujar heading5. they have been all￿ated to
8¢tivities on a b85j5 consistent with the usc of r¢50urc¢$.
T8xAtion
Th¢ Charity is ex¢mpt from ¢orporntion tsx on its ¢han"tsbk a¢tiviiies.
INVESTMENT INCOME
31.3.23
31.3.23
Deposit a¢count inte
TRUSTEES. REMUNERATION AND BENEFITS
The trustces all give freely their lime alld ¢xpertise Witho￿ any fwD) of rem￿eratiOn or oth¢r ben¢fii in cash or
kind12022." £011)

Tht Pove
Relief Foundation IAmitt4
Notes to the ￿￿1￿¢111
isttments
for the
ar ended 31 March 2112
EXPENDITURE ON CHARITABLE AcrivrriES
31J.23
31.3.22
Shallow we115 with pun]PS
A detailed breakdown is PTovided within ihe RepLKt of the Tn￿ttS on page 3
MOVEMENT IN FUNDS
Nel JDovemeDt
In fullds
At 1.422
At 31.3.23
Unrestricted funds
Gerhtrnl fund
23.179
10.406
33.585
TOTAL FUNDS
23.179
10,406
33,585
Nei movemtnt in funds. Incl￿ in th¢ at*)ve ore as follows:
Re50•rces MoverneAt i
Èxp*knded
funds
rt50yr¢es
Unrestricled
Genernl fi￿d
31.686
121.280)
10.406
TOTAL FUNDS