REGISTERED CHARITY NUMBER: 1084186
ort of the Trustees and
Financial Statements
for the Year Ended 31
ust 2022 for
Remed Trust

Remed Trust
CoDtentsof th¢Financi*1Statements
for the Year EDded 31 Au
ust 2022
Report of the Tru51ees
Independeni Examinetrs Report
ststement of Financial Activities
Balance Sheet
Cash Fl¢)w Stsiemenl
Notes to the FIna￿la1 StatemenL%
6t09

Rejned Trust
rt of ihe Trnstees
f r the Year EDd¢d 31 Au
ust 2022
The tn]siees present their atmual repcmt and financial statemcnts of the charity for the year ended 31 August 2022. The
rinancial statements have been prepared in a¢¢ordancc with the accounting policies sei out in note I to the accounts and
comply with the charity's tnjsi deed. the Charitie5 Act 2011 and Accounting and the Charities Statement of
Recommended Practice (second edition) and Financial Reporting Standard FRS 102.
OWECTJVES AND AcfivJTJES
Objectives activities for the publi¢ benefit
The objeciives of ihe charity are to support s(Ki¢ty by providing grants to individuals and organisations to support th¢ir
good works both in the UK and abro&l.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
The charity is an incorpordted tharity coTrstituied under a tn￿t deed dated 19 Dccembcr 2000 and is a registered charity,
Number 1084186.
REFERENCE AND ADMINISTRATIVE DETAILS
Registered Charity number
1084186
Principal address
Momingside House
Unit C
Harcourt Way
L¢i¢ester
Leicestershire
LE19 IWP
Trustees
Mr S K Gadhia
Mr D Gadhia
Independentexgminer
lan BTa¢e FCA
17 Thistlebank
East Leake
Loughborough
LE12 6RS
ved
order of the EM)ard of tnjsttts on 27 Septemb¢r 2022 and signed on its behalf by:
MrSKGad
- Trustée
Page I

Inde
dent Examiner's Re
Rem
totbeTrusttts of
Independent ex•rniner's report io tbe trustees of Remedy Trusl
I report to the charity t￿SleeS on my examination of the accounts of the Remedy TTU5t (the Trust) for the year ended 31
August 2022.
Responsibilities basis of report
As the charity rnstees of the TTUSt you are respcmsible for the preparation of the accounts in #¢cordance with the
requirements of the Charities Act 2011 ('the Acf).
I report in respect of my examination of the TTu￿'s accounts carried out under section 145 of the Aci and in carrying oul
my examination I have followed all applicable Direcuons given by the Chariry Commission und¢r section 145(5Xb) of
the Act.
Independent ex2miDer's stat¢ment
Since your charity's gr05s income excttded £250.OCKJ in the prioryear yow examiner must be a member of a listed body.
I can confm that l am qualified to undertake the examIn￿10n because l am a regis*red member of which is one of the
listed bodies
I have completed my ¢xatnination. I confm that no maieria] matters hav¢ tome io my attention in connection with the
examinalion giving me cause to believe in any material respect:
accounting records were not kepi in respeci of ihe Tru￿ as Tequired by section IJO of the Act; or
the accounts do noi accord with those records-or
the accountsdo notcomply with the applicable requirementsconcerningthe form and contentof accounts setout
in the Charities (Accounts and Reports) Regulation5 2008 other than any requirement that the accounts give a
trne and fair view which is noi a maner ¢onsidered as part of an independent examination.
I confm that there are Mo other matter5 to which your attention should be drawn to enable a proper understanding of the
accounts to be reached.
ro-c
lan Brdce FCA
17 Thistlebank
E￿1 Leake
Loughborough
LE12 6RS
27 September 2022
Page 2

Remed Trust
Staternent of Financial Activities
for the Year Ended 31 Au
Ust 2022
31.8.22
UnrtstTiCted
fund
31.8.21
Unrestricted
fund
Not¢5
Ineome and endowmtnts fro
Donations and legaci
500,000
300,441
Totsl
500,000
300,441
Expenditure on
Charitable #ctivities
Charitable donaiions
199,970
583,508
Other
139
120
Total
200,109
583,628
P4tt ineome (Expenditure)
299.891
(283.187)
Reeonciliatlon of (￿ndS
Total funds brought (orward
573.360
856,547
Total funds carried fonvard
873.251
573.360
Th¢not¢5forn]partofth¢s¢ financial 5tst¢ments
Page 3

Remed Trnsi
B•l*DCt Sheet
At31 Au
ust 2022
31.8.22
31.8.21
Unr¢stricied
fund
Notes
Current Assets
C&sh ai bank
873251
573,360
Net turrent 855ets
873,251
573,360
Tot81 assets less Currertt liabilities
873251
573.360
Net assets
873251
573 J60
FuDds
UnrestTiCt¢d funds
873251
573,360
573.360
Total fuDd$
873,251
The fi
atements were approved by the Board of Tn￿eeS on 27 September 2022 and were signed on its behalf by:
Mr S K Gadhia-Ttustee
Thenote5foTmpartofthe5efin8ncial statem¢nts
Page 4

Remed Trust
Cish Floiv Statement
rorthe Year Ended 31 Au
ust2
31.8.22
31.8.21
C¥sh flows frorn operating activities:
Net cash {used in) provided by operating
Ittiyiti
299,891
(283,187)
Change in cash and cash equiv*l¢Dts in the
reporting period
299.891
(283,187)
Cash and cash equivalents at the beginning olthe
reportlDg period
573,360
856,547
C85h and eash equivalents at the end ofthe
reporting period
873.251
573.360
31.8.22
31.8.21
Recontiliation of net income to De( easb now from operaliDg activities
Net income (expenditure) for tbe reportlllg period (as per the statement
of fiThancial Activities)
299.891
1283,187)
Nel cash (used in) provided by operating activities
299,891
1283,187)
Thenote5 fonnpart ofth¢se f￿ancial ststemen
Page 5

Remed Trnst
Notes to the Financial Ststements
forthe Ye¥r Ended 31 Au
st 2022
Accounting ￿lItieS
Basis of preparing the fin*Deial ststemttsts
The accounts (financial statements) have been prepared under the historical cost convention with items recognised
at cosi or transac(ion value unless otherwise stsied in the relevant note(s) to these accounts. The fman¢ial
statements have been prepared in accordance with the second edition of the Charities Sts¢emeni of Recommended
Praciice issued in October 2019, the Fknancial R¢portin8 Standard applicable in the Uniied Kingdom and Republic
of Ireland (FRS 102) and the Clwities Act 2011.
The trustees consider the￿ are no material uncenaiDties about the Tn￿.$ ability to continue a5 a going
CODcem.
Ineome
All income 15 ttcognised once the charity ha5 eniiilement io the income, il is probabl¢ that the income will be
received. and the amount of income receivable can be me&8ured reliably.
Donations are recognised when the Trust has been notified in WTiting of both the amowjt and Settlement date. In
the ¢veni that a donation is subject to conditions that require a level of t*rfomance before the charity is entitled to
the funds, Ihe income is deferred and noi recognised until eiiher those conditions are fully mel or the fulfjlment of
those conditions is wholly within the conlToI of the chariry. and it is probable that those conditions will be fiJlfill¢d
in the reporting period.
Espenditur¢
Liabilities are re¢ognised L% expenditure as 500n as there is a legal or constructive obligation committing the
charity to thai expenditure, it is probable that settlement will be required and the amount of the obligation can be
measured reliabty. All expendifure is accowited for on an a¢¢n￿lS b&sis.
Irreeoverable VAT
I￿e£overable VAT is charged against the exp¢ndiwre heading for which it W8$ incurred.
T8xatjOD
The charity is exempt from tax on its charithbl¢ athivitie5.
Fund accounting
Unrestricted fi]nds can b¢ used in accordance with the c1￿1￿b]e objedive5 at the diS￿¢t10n of the trustees.
Restricted funds can on]y be used for particular restricted purposes within the objects of the charity. Restriction5
arise wh¢n specified by the donor or when fimds are raised for particular restricted PUTP05es.
Further explanaiion of the nature and purpose of each fimd 15 included in the notes to the financial tht¢rnents.
Donations aDd lega¢i¢s
31.8.22
31.8.21
Voluntary incom¢
500,(J)O
300,441
Charitable activities costs
Directeosts
Totals
Charitsbledonation
199,970
199,970
Page 6

Remed Tr￿st
Notestothe Fingneial Statements- continued
for the Year Ended 31 Au
U5t 2022
Trustee5' remuner8tioD and benefits
There were no trustees, remuneration or other benefits for the year ended 31 August 2022 nor for the year ended
31 August 2021.
Trustees, expenses
There were notrnstees. expenses paid for theyearended 31 Augull2022 nor forthe year ended 31 Au8USt2021.
Compardtives for Ihe statemeDI or rin*ttel*la¢tivities
Unrestricied
fund
Ineome and tlldowments from
Donations and legacies
300.441
Total
Expenditure on
Charitable activities
Charttsbledonaiions
583,508
Other
120
Total
583.628
Net income
{283,187)
ReconciliatiOD of funds
Total fu4dsbroughl forward
856,547
Totgl fundsearried forward
573,360
Page 7

Movement in fund$
Net movement
in funds
At 119r21
At 3118122
U￿r￿triCted lunds
General fund
573.360
299.891
873,251
TOTAL FUNDS
573,iH)
299,891
873,251
Net movement in funds. included in the above are as follows:
Incoming
resoutces
Resource5
expended
Movementin
fvnds
Unrestricted fwnds
Generdl fund
500,tM)o
(200,109)
299.891
TOTAL FUNDS
200 109)
299,891
CompAratives for movement itt funds
Net movement
At 119r20
in funds
At 3118121
Unrestricted Funds
Generdl fund
856.547
(283,187)
573.360
TOTAL FUNDS
856547
(283,1871
573,360
Compar*ive net movement in fund4 included in the above are as follows..
ITKoming
R¢source5
pended
Movementin
fisnds
UDrestricted funds
General fimd
300,441
(583,628) (283,187)
TOTAL FUNDS
300,441
(583.628) (283,187)
Page 9

Movernent in funds-continued
A currenl year 12 months and prior year 12 Mi￿thS combined position is as follows:
Netmovement
in fimds At 3118122
At 119r20
Unrestricted funds
General fund
856,547
16,704
873,251
TOTAL FUNDS
856,547
16,704
873.251
A Current year 12 months and prior year 12 months combined net mov¢m¢nt in fijnds, included in the above are as
follows..
Incoming
resources
Re50uwes
expended
Movement in
fvnds
Unrestrieted fund5
Generdl ￿nd
800,441
(783.737)
16.704
TOTAL FUNDS
313,957
(841,1061
16,704
Related party disclosures
During the year charttable donations of £500.000 {2021- £300.IJ)O) were received from Morningside Healthcare
Limited,. in which the Trustees are also Directo￿.
Page 9