REGISTERED CHARITY NUMBEK. 1024872
A &N <H￿I¢m￿%) Limited
Arun&14ouse
21Clngs Road
Haslemere
Surrey
OU27 2QA

WORLD TRU
DREN
f the Financial Stateme
Pa8e
Report of the Trustees
I to 4
Independent Bxaminevs Report
Statement of Fin8n¢iol Activities
Balance Sheet
Notes to th6 Financial Statsments
8 to 12
Detsiled Statement of Financial Activitles
13

KINGS W
DREN
Re rt f the Trustees
the Year
ded31 Ma
24
The Committee pi'esent their report with the fin8n¢ial statements of the charity for the year ended 31 May 2024. The tn￿tteS
have adopted th¢ provisions of Accounting and Rep)rting by Charities: s￿ement of Recommended Practice (SORP)
applicable to charities preparing their accounts in accordance with the Financial RepJrtin8 Standard applicable in the UK
and Republic of Ireland {FRS102) (effective l January 2015).
OBJEcfivLS AND A￿1VITIEs
Objeetlves And aim$
The principal objectives of the Charity are to promoie care, education and upbringing of children and young people in need
and to relieve poverty and sickness amon8St Such children and young Feople. Historically this has been restricted to Kings
Woi'ld Tntst for Children (India) those annual report can bc obtained from www.kingscthildrcn.or8
Kings World Tnjst for Children (KWTC) was founded in UK in 1994 to pmvtde Ca￿ education and skills tr8iiiing for
children who were orphaned. home1￿ or with physical disabilities. The Operational arm of KWTC is Kings World Trust for
Cliildren (India) which manages. establishes and directs all educational projects and sclK)ols in wuthern India as agreed with
KWTC in UK.
The Trust opened its first Children5 Village in Chinnammaipuram in 1995 for b)th boys and 8irls. Subsequent activilies
were &8 follows:
1998 - opened Boys Home in Idayangudi
1999- purthased land in Pudhur for farming and established a girls children's village
1999- started an 'outreach' programme to provide primary. secondory. skills training and college education for children and
youiig people living in their own homes.
2004 - provided medical core, relicf aid and reconstruction %f)rk in coathl villages affected by the south Asian Tsunami
2005- built and opened Kings Matriculation School at Pudhur on land previously purchased for famiinsn
2014 - built and opened Kin8s CBSE School on the s8me 5i>aere campus
2018- built second phase of CBSE school doubling its previous sizc
2020 - Provided 'online' classes for all students during covid period. Tru# prnvided 8ad8ets tor those who didnl have tliem
to attend'online, ¢lasse&
An outreach pro￿.8mMe provide4 funds for books. unifonns, subsisten¢e eto ftir children wuld otheThvise have no
access to education, to attend th¢ir l¢)eal schools. A basic education may give child1￿ X*me advantage in later life but it is
no 8uai'antee of employment. Kwfc the￿fOre helps to fund its students into higher education or vocational training ¢0 give
them the best possible chanc¢ of a bright future in thith they can provide for themselves and their families and break the
Cycle of Fovety.
The aim of Kings Woi'ld Trust for Children is first to provide an extensive eductttion and secondly, to providc leadership and
guidance foi. disadvanLqged children and youn8 people for a sustainable fubjre.
OPERATIONS IN INDIA 2024
KWTC (INDIA) owns and operat&8 Kin8s Matriculation Sch￿1 and Kings CBSE Sch¢)ol. Both sthools arc located on a
50-acre campus aiid share a Kindergarten, sports facilities, dining and Boarding liouses. Eath school is located on its own
secure campus. CurrentIy 292 students are sludying in Kindwn, 783 siudents 8re in Matri¢ S¢hool and 871 siudents are
in CBSE School.
Kwfc operates a bursary pro8ramme iTthich provides free or means tested education to bright children from low income
famili￿. Bursari￿ at Kings School are also available for talented sports children. This bursary prngrnmnie is inclusive and
available to boys and girls from any background, raee. c&stc. reli8ion or 8ender. Bursaries are funded either by Kings
schools or by a'child Sponsorship progrnmml fimded by overseas donors.
Kings Schools teach in English. T&mil is the second tsught langu8gc bul is the first language of the majority of students at
Ki118s Schools. Special attention is paid to ArL Music, Cultural projects. extra eurrieular adiviiies and sports. All Students
take part in a great many non-edUCation￿ adivitie4 clubs and hobbies.
Page I

KINGS WORID
T FOR CHI
rtof
e Year Ended 31 Ma
2024
OBJECTIVLS AND AcfiviTIES
Publie benefit
The trustees have paid due regard to guidance issued by the Charity Commission in deciding what aetivities the charity
should undertake.
Activities carried out for publtc beftefit by the Charity related to charltable W￿rk projects currently carried out in Tamil Nadu
stste in South India throu8h an Indian registered Aid AgencylNGO °Kings World T￿￿¢ for Children (India)"
Social investments
Kwfc (India) ow]s and operat&% schools. Kings Matriculation School (800 students) Ithich follows the Tamil Nadu
State 'common' syllabus and Kings CBSE School {700 students) which followJ and Indiat) National syllabus. Kin&$
Matriculation School has 250/0 of sthdents who are on free iwrsaries and a numbu on means t&sied bursaries. Kings CBSE
school is for fee paying students only and profits are transfe￿ed to Kings Matric lo help support the fees of the bursary
students. The two Kings Schools are ¢trlocated on a 5(kaere rural campus
Volunteers
Kings Schools runs a programme for volunteers from the UK and from other En81ish S￿akIng Countries. Volunte￿5 be
any age frorn 18 years old. Th¢y have profe5sionaI skllls or be school leavers. TEFL qualified volunteers espe¢iaily
welcome. A minimum of one month and inaxtmum of three months is the ideal volunteer time at Kings Sehools. However,
KWTC doesn't get many volunle￿5 Frf)St covid. We are trying hard to bring volunteers from abroad.
ACHIEVEMENT AND PERFORMANCE
ChAritable Activities
The Trustees have maintsined a steady flow of fimds to K￿c {India) to supw>rt children ivho are swnsored by tlie UK
Trust. The funds are used exclusively for the children sponsored by UK donors including the infrastructure and resources
which are necessary to support them. There is one fijll time staff manber ond one part timc bookjteeper tho administer and
manage the KWTC S￿nSOrship and Iwrsary programme5 in Indi&
Income has been falling over the past few yeats due to the challenges of fundraisin8, the retiremenL due to age. of a number
of loyal dorKJrs who are now unable to support their 4K1￿￿red children on a f￿¢d pension and the fail in sterling against the
Indian rupee which has meant transferTed fvnds are now worth less in rupees. It has been hard to find many new child
sponsors but there has been a slow stream of sp)nsor4 mostly from younger peopl< came as vOlUnteer￿InternS to
supwjrt the Nwrk of the Indian TnLSt and schools.
KV￿c makes ongoin8 appeals to Grdnt Making Tn￿ts in the UK and has been sUcc￿fi]I in attracting a number of sizeable
donations for capital projects and the multiple sponsojthp of children both in KWTC Ondia) and the schools run by the
Indian Trust.
Cu￿ently$ the following numbers of thildren are SFK)nsored in the K￿c Outreath programme in India and in providing
bursaries for children to attend Kings Schools in Indi&
Outreach programme
Higher Eduction
Day Bursary at Kings School
Boarding Bursary at Kings School
Total Number of Children
io
242
259
Surplus ￿ndS are kept with hi8h street banks to enable e&sy access.
Th¢ TnJste&8 recognise the need to review this policy on an annual basis and to look at other poiential opportunities whilst
appmpi'iately monitoring the available fiinds and being proactive in their managemen4 to ensure the best interest of the
Cl)￿￿ty.$ objectives are maintained.
Page 2

KTNGS WORLD
ST FOR CHILDREN
ort of the Trustees
for the Year En
2024
FINANCIAL REVIEW
Principal funding sources
The principle source of funds is donations from individuals, companies and other organisations in the United Kingdom as
well as sponsorship of specifi¢ children in India. Income generated for Kings School is throu￿ a percentage of fee paying
students. K￿c runs a volunteer programme in India for skilled and unskilled volunteers from overseas who support
KWTC programmes and projects.
Investment poliey and objeetiv¢s
Surplus funds are kept with high street banks to enable easy access.
Reserves policy
The policy of the trustees is to build up reserves to cover sudden105s of income or an emer8ency situation. Reserves have
been depleted in recent years to maintain our Charitsble progrdmmes. At the current time reserves have increased to £1 0,652
(2023 £7,722), below that thought to be prudent by the Trustees. The decision to curtail the outreach work and increase fund
raising efforts ivill help to build up reserves again to the desir¢d levels. The trustees aTrn to make best use of any un￿$trActed
funds, however, t5iey reserve the right to Tetain general reserves ii) hand until they can be used in the most efficient manner
to further the objectives of the Charity.
Funds in deficit
During the year there was a net income of £2,930 (2023 £2,933 Net deficit). There w&8 a decrease in income during the
year as it h&s been a difficult time to rdise funds. During the year £25,000 was granted from the Charity (2023 - £64,000).
Th¢ trustees felt it necessary given Ihe decrease in donations and to reduce tl)e commitment to ensure that the Cbarity
maintained it reserves in line with its reserves policy.
Surplus ￿ndS ar¢ kept with high street banks to enable easy access. The Trustees recognise the need to review this policy on
an annual basis and to look at other potential opportunities whilst appropriately monitoring tlie available funds and being
proactive in their managemenL to ensure the best interest of the Charity's objectives are maintained.
IT￿uRE PLANS
Kwfc (India} is to cease the outreach progran)me as soon as existing children complete their education. The new focus is
to provide butsaries for children, from low income and disadvantaged backgrounds, to attend Kings Matrieulation S¢hool.
KWTC has one of the best schools in southern India and children can really benefit from a fomial education, in English, at
this school, English is one of two 'National' languages in India and fluency in En81ish is a passport to a successfijl
professional career.
sTrucruRE, GOVERNANCE AIYD MANAGEMENT
Governing document
The charity is controlled by its governing documenl a deed of trust and constitutes an unincorpordted charity.
The management of th¢ Charity is the responsibility of the Trustees who are elected and COwOPted under the tern15 of the
Trust d¢¢d,
The Trustees have adopted the following policies and procedures for the induction and training of new Trustees".
l. Ther¢ should be no less than three trustees.
2. ProsP￿tive Trustees need to be recommended by the existing Trustees and be over the age of eighteen and not be
ineligible to act.
3. The Charity will provide sufficient training ￿lStanCe to enable a Trustee to be well informed, conversant with current
l¢gi51ation, up to date with events affecting tlie Charity 2nd its objectives.
The trustees are based throughout the United Kingdom. The Trustees will discuss various matters through the year whicli affect the
Charity and will when necessary hold fomal minuted Trustee5 Ineeting5. The Charity has an administrator, and uses the
Page 3

UST
fthe
ded31
2024
services of Unpaid volunteers. The founder. C wa￿thff OBE ho]ds the role of chalT￿ and Opwa￿onS Direckn and splits
IIy24872
I Stonehill Coltage
Wilsons Road
Headley Dow
Bordon
GU35 8JE
Mr C Wa8stsff OBE
Mr S Wagstaff
Mr N Wag8taff
Mrs B
Mrn An￿￿a￿ ShaTma Bsc FCA
A & N (Haslemere) Limited
Aruna House
2 Kin85 Road
Haslemere
Su
OU27 2QA
The cbulty w•$ aet up under a &ed da*d 26 July 1993.
•nd 8]￿d on its belwlf by.
C Wwtsff OBE. Tn

Inde
endeiit Examiner's Re
ort lu Ihe Trustees of
s World Trust for Children
Independent examiner's repoi't to the trustees of Kintss World Trust for Cliildren
I report to Il)e cliai'ity trustees on tny examination of the accounls of Kiiigs World Ti'ust for Children (the Trust) for the year
cnded 31 May 2024.
Responsil)ilitics and bAsis of report
As the cliariiy trustees uf il)e Trust you are responsible for the preparation of the accounts in accordance witli t]ie
requirenieiits of Ihc Charities Act ?01 l ('the Act,).
I report in respect of my ¢xaiiiination of the Triist's accounts carried oiit linder Scclion 145 of the Act and in carryii)g out Iny
examinatioii I have followed all applicable Directions given by Ihe Cliarily Coniiiiission uiider Section 145(5)(b) of tlie Ael.
Indepeiident eyaminer's statement
I have coinpleled my examination. I confirEn that no matcrial Inatters have come to Iny attention in eonnection witli the
examination giving me cause to believe that in any maicrial respect-
accounting record5 were not kept in respect of the Tnisl as required by Section 130 of the Acl. or
tlie accoiinls do iiot accord with tl)ose records. or
tlie accouiits do not coinply ivith the applicable requiremenÉs concerning the form and content of accounts set out in
the Cliarities (Accounts and Reports) Regulalions 2008 otlier than ai)y requirement that the accounts aive a Irue and
fair view which is not a matter considered as part of an independent examination.
I have iio concerns and have come across no other matter5 in connection M'ith the examination to wliicli attentioii should be
drawn in this report in order lo cnable a propcr underslanding of the accounts lo be reaclied.
Irs Aiiiiurali Sharma Bsc FCA
I"he Institute of Chartered Accountants in Ew]gland and Ivales
A & N (Haslemere) Limited
Aruna House
2 Kings Road
Hasletnere
Surrey
GU27 2QA
Date..
Page 5

GSWO
UST FOR CHILD
Statement of
for tl
nancial Aeti
Ima
2024
31.5.24
Total
funds
31.5.23
Total
funds
Unrestricted
fund
Restricted
fijnd
Notes
tNCOME AND ENDOWMENTS FROM
Donations and legacies
46,874
EXPENDrruRE ON
Raising funds
344
Charltable a¢tlvities
Charitable Aclivites
Grants
18,944
18,944
15,935
Total
NET JY4COMEI(EXPENDITURE)
2,930
2,930
(2.933)
RECONaLIATION OF FUNDS
Totsl fijnds brouglit forward
7,722
7,722
10,655
TOTAL FUNDS CARRIED FORWARD
The notes form part of these financial statements
Page 6

GSW
RLD TRUST
R CHILD
Balance Sh
31Ma
2024
31.5.24
Total
funds
31.5.23
Total
fi￿dS
fund
fund
Notes '
CURRENT ASSETS
Debtors
Cash &t bank
2,067
10,485
1067
10,485
1,674
7,948
12552
11552
9.622
CREDITORS
Amounts falling due wiihin one year
(1.900)
(1,900)
(1,900)
10,652
10.652
7.722
TOTAL ASSETS LLSS CURRENT
LIABILfTIES
10.652
10.652
7,722
NET ASSETS
10.652
10.652
7.722
FUNDS
Unrestiicted fi]nds
10,652
7,722
TOTAL FUNDS
10.652
7.722
The financial statements were approved by the Board of Tn￿te￿ oad authorised for i&8ue on ..
aDd were signed on its bebalf by:
agstaff-Trustec
S A Wa8slaff - TTh￿tee
Tbe notes forni part of these fuwicial statemeDts

ICINGS WORLD TRUST FO
DBEN
Notes to the Financial Statemen
for the Year En
d31
2024
ACCOUNTING POLICIES
Basis of preparillg the finanelal statements
The financial statements of the charity, which is a public benefit entity under FRS 102, have been prepared in
accordance with the Charities SORP (FRS 102) 'Accounting and Reporting by Charities: Statement of
Recommended Practice applicable to ¢harities preparing their accounts iii accordance with the Finan¢ial Reporting
Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),, Financial Reportin8
Standard 102 The Financial Reporiin8 Standard applicable in thc UK and Republic of Ireland, and the Charities Act
2011. The financial statements have be¢n prepared under the historical cost convention.
The financial statements have been prepared in accordance with Accounting and Reporting by Charities: Slatement
of Recommended Practice applicable to charities preparing their accouiils in a¢¢ordance with Financial Reporting
Standards applicable in the UK and Republi¢ of Ireland (FRS102) (effective l January 2015), Charities SORI>
FRS102. the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS102).
Assets and liabilities are initially recognised at historic cost or transaction value unless otherwise stated in ih¢
relevant accounting policy notes.
Legfil form
The Charity is an unincorporal¢d r¢8lStered Chariiy defined by its governing document.
Income
All income 15 recognised in the Statement of Financial Activities once the charity has entitlement to the funds, it is
probable that the income will be received and the amount can be measured reliably.
Expcnditur¢
Liabilities are reco8nised as ¢xpenditure as soon as there is a legal or constructive obli8atioii ¢onimitting the Charity
to that expenditure, it is probable that a transfer of economic benefits will be required in settlement and the amount
of the obligation Can be Ineasured reliably. Expenditure is a¢￿Ullled for on an accruals basis and ha5 bcen CI￿81f1ed
under headings that aggregate all cost related to the category. Wliere costs cannot be directly attributed to particular
headin8S they have been allocated to activities on a basis consistent with the use of resources.
Grants offei'ed subject to conditions which have not been in¢t at th¢ year eiid date are noted as a commitment but not
accrued as expenditur
Govci'nance costs
Governance costs comprise all costs involving the public accountability of the Charity and its compliance with
regulations and 8oTrA practice. These costs include costs related to the independent examination. legal fees and any
appropriate apportionment of overheads.
Taxntlon
The Charity is exempt from tax on its charitsble activities.
Fund accounting
General funds are unrestricted funds which are available for use at the discretion of the Trustees in furtherance of
the general obje¢¢ives of the Charity and which have not been designated for other purposes.
Restricted funds are funds which are to be used in accordance witli specific i'estridions imposed by donors which
have been raised by the Charity for particular purpose5. The Gost of raising and &thninisterin8 such funds are
charged against the specific fund. The aim and use of each restricted fund is set out in the notes to the finan¢ial
statements. Any investment income, gains or losses are allocated to the appropriate fimd.
Pa8e 8
continued...

IcrNG
ORLD
UST FO
otes to the
inan
ial Statements- co
ear Ended 31 Ma
24
nue
ACCOUNTING POLICIES - continued
Fund Rccounting
Desi8nated funds are fvnds set aside by the Trustees out of general reserves for a particular purpos¢. The aim and
use of each designated fund is set out in the notes to the fIn￿CIal stateinents. Thc Trustees will review the fisnds on
an ongoing basi5. At the conclusion of the purpose for the fund any excess r¢mainin8 funds will be transferred back
into general funds. If a shortfall arises the Trustees will consider whether any additional general funds should be
transferred to designated funds. Any investment incomei gains or losses are allocAted to the appropriate fi)nd.
Foreign currencles
Monetary assets and liabilities in foreign Currencies are translated into sterling at the rate of exchange ruling at th¢
date of transaction. Exchange variances are tsken into acfX)unt in arrivin8 at the operating result.
Critlcal accountlng estimates And judgemcnts
In the appli¢alion of the charity's accounting policies, the trustees may be required to make assumptions, estimates
and judgements about the carying values of assets and liabilffities tliat are not readily apparent from other source5.
These are based on previous experience and oth¢r factors that are considered by the trustees to be relevant.
Ultimately, actual results may differ from these estimat¢s. Any such estirnates and assumplions are subject to r¢view
on an ongoing basis. Revisioiis to accounting estimates are recognised in the period in wliich the revision takes
place where thc revision affecls only that period. or in the period of the revision and any future periods where the
revision affects both current and fuiure periods,
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, r¢muneration or other benefits for the year ended 31 May 2024 nor for th¢ year ended
31 May 2023.
Trustees, expenses
There were no trustees, expenses paid for the year ended 31 May 2024 nor for the year ended 31 May 2023.
COMPARATIVES FOR THE STATE￿NT OF FINANCIAL ACTIVITIES
Unrestricted
fuiid
Restricted
fuiid
Totsl
funds
INCOME AND ENDOWMENTS FROM
Donations and legacies
EXPENDITURE ON
Raisin8 funds
344
344
Cbaritable activities
Charitabl¢ Activites
Grants
15,935
15,935
Total
NET INCOMEI(EXPENDITURE)
{2.933)
(2,933)
RECONCILIATION OF FUNDS
Total funds brought forward
10,655
10,655
Page 9
¢ontinued...

S WORLD TRUST FOR
Notes to
e Financ al Statements- continued
for the
ear Ended 31 Ma
2024
COMPARATIVES FOR TIiE ￿ATEMENT OF FINANCIAL AcfivITILS- continued
Unre5trirted
Restricted
fund
fund
Total
funds
TOTAL FUNDS CARRIED FORWARD
DEBTORS: AMOUNtS FALLING DUE WITHIN ONE YEAR
31.5.24
31.5.23
Other dcbtors
CREDITORS: AMouNfs FALLING DUE WITIIIN ONE YEAR
31.5.24
31.5.23
Other creditors
MOVEMENT IN FifNDS
Net
movement
in fiJnd5
At
31.5.24
At1.6.23
Unrestricted funds
(3eneral fund
7,722
2,930
10,652
TOTAL FUIYDS
Net movement in fjJnd8. included in the above are as follows:
Incoming
resources
Resources
expended
Movement
in funds
Unrestrlcted funds
General fund
46.874
(43.944)
2,930
TOTAL FUNDS
2,930
Pagc 10
continued...

S WORLD
UST FOR CHILDBEN
tes to the Financial Statements-
for the Year
ded3
202
ntinued
MOVEMENf IN FUNDS - continued
CompAratives for movement In funds
Net
movement
in funds
At
31.5.23
At 1.6.22
Unrestrlcted funds
General fund
10,655
(2,933)
7,722
TOTAL FUM>S
Comparative net inovement in funds. included in the above are as follows:
Incomin8
Resources
expended
Movement
in funds
Unrestrlcted funds
General fund
43,721
(46,654)
(2,933)
Restricted funds
Restricted
Fund
33.625
(33,625)
TOTAL FUNDS
80 279)
A current year 12 months and prior year 12 month5 combined position is as follows:
N¢1
movement
In funds
At
31.5.24
At 1.6.22
Unrestricted funds
General fund
10.655
(3)
10.652
TOTAL FUNDS
3)
Pagell
¢ontinued...

KfN
D TRUST FOR CHILDREN
Notes to the Financial Stateinents - continu
or the Year En
24
MOVEMENT tN FUNDS - contlnued
A current year 12 months and prior year 12 months combined net moveinent in fvnds, included in the above ar¢ as
follows:
Incoming
resources
Resources
expended
Movement
in funds
UnrestrACted funds
General fijnd
90,595
(90.598)
{3)
Restricted funds
Restricted
Fund
33,625
(33.625)
TOTAL FUNDS
124220
(124 223)
3)
RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 May 2024.
ULTIMATE CONTROLLING PARTY
The Thislees control the Charity in accordance with the trust deed.
Page 12

KfNGS W
USTF
etailed Statement of Financial Activities
for the Year Ended 31 Ma
2024
31.5.24
Total
funds
31.5.23
Totsl
funds
Unrestrlcted
funds
Restricted
funds
tNCOME AND ENDOWMENTS
DonAtions and legacie5
Child Sponsornhip
Donations
Gift aid
28,848
13,414
28,848
13,414
33,625
38,620
TotAI Incoming resources
46.874
46.874
77,346
EXPENDITURE
ChfirltAble activltles
Wagc5
Travelling
Graiits to institutions
8,000
7,125
8,000
7,125
8,000
4,393
40,125
40.125
76,393
Support costs
Management
Office administration
2.102
FinAnee
Bank charges
500
500
169
Infoi'mAtion teclinology
Repairs and renewals
283
283
175
Governance costs
Accountants remuneration for non audit work
Total resourc￿ expended
Net (expendlture)lincome
This page does not fomi part of the statutory financial statements
Page 13