REGisfERED COMPANY NUMBER: 05035681 W¥1￿)
REG157"LKLD CHA￿ ry iYLMBER: 1102255
RetKbrt of the Trustees and
Flnaneigl Statements
(vr th¢ Yrar Euded 31st March 2024
for
THE MARA RIANDA CHARITABLE TRU

THE MAIL4 RIANDA CHARITABLE TRusr
Contents of the Financi21 Siatements
for the year ended 31st March 2024
Page
Re￿rt ofthe Trnstees
I to 2
Independent Examiner's Report
St4tement of Financial Artivitse
Bgiance Sheet
Not￿ to the Fingncial Statements
6 to 10

THE MARA RIAIYDA CHARITABLE TRusf (REGisfERED NUMBER: 05035681)
Rqy)rt ofthe Trustees
for the year ended 31st Mareh 2024
The trnstees who are also directots of the charity for the pUr￿lseS of the Companie5 Act 2006, p￿t their ItIx)rt with
th¢ financial statcrncnts of thc charity for the Ye￿ ended 3 1st March 2024. The truslees hav¢ adopted the provisions of
Acwunling and Rewrting by ChaTities: Statement of Recommended Practice applicable to charities preparing their
accounts in a¢¢ord2nee with the Fin2ncig1 Rwrting StaThJard applicable in the UK and Republic of ]￿land (FRS 102)
(¢ffethiv¢ l January 2019).
OWECTIVES AND A￿1VITIEs
Objertives and aims
The company is a charity and its objects are amongst other things to Telieve pe￿n5 WIK) are in conditions of necd or
hardship and to relieve the distress caused thereby in Kenya and to ￿VanCe education by such means &8 the trustees
consider appropriale.
Public benefit
The public benefit of the charity is ihe funding of the huilding of education and health establishments. the supply of
education, sw)rts and Medi￿ equipment and the cducation of those in need.
ACHIEVEMENT AND PERFORMANCE
Charitable aclivities
During the year ended 31 March 2024 further funds totalling £91711 have been received. We have been able to
¢ommence the fundin8 of the building of a new domiitory. new toilet and shower block and the refurt)ishment of an
existing donnitory at Mard Rianda Prtmary Sch(M)l. Funds have also been ulilised to provide ongoing supp)rt to the Marn
Rianda Primary SckKoI. EDkereri Primary SchrKJl ond two pre•scIMX)Is in the Ma￿1 Kenya as well as the Ilwal
LX)mmunity.
Following consultstion with the He&fft￿her and school c4)mmittee of the Mara Rianda and Enke￿ri Primary Schools we
have provided bursaries for a futther nine pupils to rned their secondary school fees for the four year duration of
secondary education. To date we have suprKyrted 2￿ children. including 74 girls, to go to secondary schcol. of which
153 have now completcd their secondary education. In addilion wc supFx)rt on¢ 5tudmt at Kenya Mcdical Training
College.
We continue to provide finaTJCTal supwrt for five teacher& as well &s replenishing weral ￿(L)ISupplIes. such as
writing material& I￿kS and equipmenL
STRUCTURE, GOVERTr4ANCE AND MANAGEME
Coverning document
The Lhurily is Lvnlrvll¢d by iL% ¥vv¥tnin¥ iiwunenL a d¢td of trLLSL and a)nstitutes a limited company. liinited by
guarantee, as defined by the Companies Act 2006.
The company is limited by guarath under which exh memlrr is liable to contribuk such sum a5 required not
exceeding £1 O. The directors and trustees. who are also members. ￿ in accordanLY with its Memorandurn and Articles
of Association.
REFEREIYCE AND ADMINISVRATIVL DL"I"AII
Registered Company number
05035681 (England and Walcs)
Rwstered Charity numbtr
l(J22S.S
Registered office
C&stlegate House
36 Str¢¢i
Hertford
Hertfordshire
SG14 IHH
Page I

THE MARA RIANDA CHARITABLE TRusf (REcigrERED NUMBER: 0503S681)
Report of the Trustee5
for the year ended 31st Mar¢h 2024
Trustees
CGBird
RWJLong
N R Hollingsworth
D J Grammati&￿ (ap￿inted ￿12￿2023}
Compgny Secretary
RWJLong
Approvd by order of the iKth of In￿eeS on 9th December 2024 and signed on its behalf by:
R W J Long- Trustee
Pag¢ 2

1ndt￿ident Examinerfs Report lo the Trnslees or
The Mara Rianda Charilable Trust
Independenl examlnerfs report to the tru5tee5 of Tre Mara Rianda Charilable"I"rust ('the LvmpyNy')
I re￿rt to the charity trustees on my examination of th¢ accou￿ of th¢ Company for the year end&1 3 1st March 2024.
Responsibilities and b￿15 of rewjrt
As the charity's trustees of the Company (and also its directojs for the purpjses of (ximpany law) you are resp)nsible for
the preparation of the xcounts in 8￿rdance with the Tequirements of the Companies Ad 2006 (%he 211)6 ACV).
Having ￿l$fied myself that the of the Company not required to k audited under Part 16 of the 2006 Act
and are eligible for independent oxaminali0￿ I in res￿ of my examination of your charity's ￿)Unts as Ca￿led
out under Section 145 of the Charities Act 2011 {*he 2011 Ad). In canying out rny examination I have followed the
Direction5 given by the Chan"ty Commission under Section 145(5) (b) of the 2011 ACL
Independent examiner's slalement
I have completed my examination. I wnflrni thaT no mallets have eome to my attention in connection with the
examination giving me ￿￿Se lo believe:
accounting records were not kept in respect of the Company as required by Section 386 of the 2006 A¢ or
the accounts do not accord with those records. or
the accounis do not comply with ihe accounting requirements of Section 396 of the 2006 Act other than any
requirement that the accounts give a true and fair view which is not a matter CA)nsIde￿d &s part of an independent
examination. or
the accounts have not been p• in accordan(% with the methods and principles of the 5thiemcnt of
Recommended Practice for accDunting and rep)rting by charities (applicable to charities preparing iheir accoiints
in accordance with the Financial Rep)rting Standard applicable in the UK and Rq)ublic of Ireland (FRS 102)).
I have no concerns and have come acN)5s no other matters in connection with the examination to which attention should
be drdwn in thi5 reFK)rt in order to enable a proper understanding of the accounts to be reached.
- lThom&s J S (ioIi8
13 Byron Close
Stevenage
SG2 OJE
10th December 2024
Page 3

THE MARA RIANDA CHARITABLE TRusr
Statement of Financlal Acllvities
for the year ended 315t March 2024
3113124
Total
fimds
3113123
Total
fundg
Unrestricted
Restricted
fimd
Notes
INCOME AND EN￿)WMETrITS FROM
tknnalions and legacies
23.618
68,888
92506
65,416
Investment income
206
206
61
Total
23,824
68,888
92,712
65,507
EXPENDITURE ON
Charitable activities
G¢ncral
Re5trictrd
13J63
{355)
34,616
13,008
34,616
92J54
Totsl
13J63
34261
47,624
92J54
NET INCOMEI{EXPENDITURE)
10,461
34,627
45,088
(26,847)
RECONCILIATION OF FUNDS
Total fvnds brought forward
20,833
13510
34J43
61.190
TOTAL FUNDS CARIUED FORWARD
31294
48,137
79,431
34,343
The notes f(Ym part of th¢s¢ financial 51atcmcnts
Page 4

THE MA114 RIANDA CIIARITABLE TRU
Balanee Sheet
31st March 2024
3113124
3113123
Total
funds
fimd
fi￿d
funds
Notc5
CURRENT ASSETS
Debtois
Cash at bank
356
47.781
356
80,035
32254
34J43
32254
48.137
80J91
34J43
CREDITORS
Amounls falling due within one year
(960)
(960)
NET CURRE}￿ ASSETS
31294
48.137
79,431
34J43
TOTAL ASSETS LE&S CURRENT
LIABILITIES
31294
48,137
79,431
34J43
NET A&SETS
31294
48.137
79,431
34J43
FUNDS
Unrcstiictcd funds
Restricted funds
31294
48,137
20,833
13,510
TOTAL FUNDS
79.431
34,343
The char¢table company is entitled to exemption from audit under Section 477 of the Compgnies Act 2006 for the y
ended 31st March 2024.
The membets have not required the company to obtsin an audit of its finan¢ial statements for the year ended
J I st Ma￿h 2024 in ￿rdance with Section 476 of th¢ Companies Act 2006.
The Érustees a¢knowl¢dge their resFn)nsibilities for
(a)
ensuring that the charitable CoMp￿Y keep5 accounting reLx)rds that LX)mply with s￿tions 386 and 387 of the
Companies Act 2006 and
preparing financial ststements which give a and fair view of the stal¢ of affairs of the charitable company as
at the end of each financial year and of its surplus or deficit for each financial year in accordance with the
requir¢mcnts of Sections 394 and 395 and which oth¢rwis¢ comply with the requirements of the Companies Act
2U06 relating to financial statement4 x> far as applicable to the charitable company.
(b)
Th¢s¢ finan¢ial statements hav¢ b¢En ￿￿ra￿￿￿¢ with thc prt>visions appliGabl¢ to Ghatitable companies
subject to the small companies regime.
Th¢ fIn￿￿la1 slatements We￿ appmved by the Boanl of Tntstees and authorised for issue on 9th D¢c¢mb¢r 2024 and
were Sign￿ on its behalf by:
Bird_ Trustee
The notes form part of th￿e financial statements
Page 5

THE MARA RIANDA CHARITABLL I'KUSI"
Notes trj ¢he Financial Statements
for the year ended 31st March 2024
ACCOUNTING POLICILS
Basi$ of preparing the financial ststements
The financial statements of ihe charitable cornpany, whiGh is a public benefit entity undcr FRS 102. have bc
prepared in accordance with ihe Charities SORP (FRS 102) 'Accounting and Reporting by Charities.. Statement of
Recommended l)ractice applicable to charities preparing their a¢wunts in accordance with the Financial
ReFKirting Standard applicable in the UK and Republic of Iteland (FRS 102) {effective l January 2019),.
Financial KeFK)rting Standard 102 The Financial Rewrting Standard applicable in the UK and Republic of
I￿land, and the Compwiies Ali 2006. Th¢ financial statemenTS hav¢ been Prepar￿ under the hisloncal cost
collv¢iTrlion.
Income
All income is recognised in the Statement of Financi8] Acttvities once the charity h&s entitlement to the funds. it
is probabl¢ thc illLT)m¢ will be received and the amouni can be rne&8ur8J reliably.
Expenditure
Liabilities are recognised as expenditure as soon as the￿ is a legal or constructive obligation committing the
harity to that expenditure. it is probable that a transfer of econornic benefits will be required in settlement and
the amount of the obligation can ￿ measured reliably. Expenditure is accounted for on an accNals basis and h&$
bccn classified undcr heading5 that a88ir¥atr dll LX)St relawl ￿ the ￿egOry. Where costs cannot be directly
attributed to particular headings they have tten allrKaled to activities nn a hasis consistent with the use of
Taxation
The charity is exempt from cor￿ratIOn t&x on its charitsble ￿tIvitI<$.
Fund accounting
UnreslriLl¥d fuT]ds can be used in accordanc£ with the charitable objectives at the discretion ofthe trustees.
Restricted funds con only bc uscd for particular r¢strictcd purFKlS¢S within the objects of the charity. Restrictions
arise when s[￿CIfied by the th)nor OT when fun(Ls are raised for particular restricted purw>ses.
Further explanation of th¢ nature and purw)se of fund is included in the notes to the financial statements.
INVESTMENf INCOME
3113124
3113123
Interest reccivablc
Gift aid interesl
56
150
61
206
61
continued...

TIIE MARA RIANDA CHARITABLE TRusr
Notes to the Fjnancial Ststements- eontinued
for the year ended 31st Mareh 2024
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for th¢ year ended 3 1st March 2024 nor for the ye8r ended
31st M￿h 2023.
Trustees, expenses
There were no tntstees, expenses paid for the year ended 31st March 2024 nor for the year ended
3 1st March 2023.
COMPARATIVES FOR THE &fATEmE￿ OF FINANCIAL A￿1vITIEs
Unrestricted Restricted
fund
fund
funds
INCOME AND ENDOWMENTS FROM
Lknnations and legacies
35J75
30.071
05,446
Invesmieni inrA)me
61
61
Total
35.436
30,071
65,507
EXPENDITURE ON
Charitable activities
Genernl
51,521
40,833
92,354
NET INCOMEI(EXPENDITURE)
(16,085)
(10.762)
(26,847)
RECONCILIATION OF FUNDS
Tolal funds br()ught forward
36,918
24272
61,19)
T(yfAL FUNDS CARRIED FORWARD
20.833
13510
34J43
The above is for the year ¢Dded 31st Mareh 2023.
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
3113124
31ll123
Other debtors
356
Page 7
continued...

THE MARA RIANDA CHAIUTABLE TRU
Notes to the Financial Ststements- continued
for the year ended 31st March 2024
CREDITORS: AMouNfs FALLING DUE WITHIN ONE YEAR
3113124
3113123
A¢¢rued expenses
960
MOVEMEIYT IN FUNDS
Net
movemeni
in funds
At
3113124
At 114123
Unrestrlcted funds
General fund
20.833
10.461
31294
Restricted funds
Restricted
13JlO
34.627
48.137
TOTAL FUNDS
34343
45,088
79,431
Net movement in fimds. included in the a￿ve are as follows:
Incoming
resour￿$ ¢xp¢ndcd
Movement
in funds
Unrestricted funds
General fund
23,824
(13J63)
10,461
R￿tricted
Restricted
68.888
(34261)
34.627
TOTAL FUIYDS
92,712
(47,624)
45,088
com￿ratIve1 for movement in funds
Net
movetncnt
in fvnds
At
3113123
At114r22
Unrrstrictcd fun
Gener41 fimd
36,918
{16,085)
20,833
Restricted fun(b
Restricted
24272
(10.762)
13,510
TOTAL FUNDS
61,190
(26,847)
34,343
Page 8
continued...

TIIE MARA RIANDA CIIAIUTABLE TRusr
Notes to the Financial Statements- continued
for the y￿r ended 31st Marth 2024
MOVEMEiYf IN FUNDS- continued
Comparative net nKivement in funds, included in the above are as follows:
Inc%Kning Resourc￿ Movement
expended
in ￿ndS
Unrestrirted funds
G¢ii¢i"al fund
35.436
(51.521)
(16,085)
Restricted funds
Restricted
30,071
{40,833 }
(10,762)
TOTAL FUNDS
65.507
(92,354)
(26,847)
A curreni year 12 months and prior year 12 months combined Fosiiion is as follows:
Net
movement
in funds
At
3113124
At 114122
Unrestricted funds
General fund
36.918
(5.624)
31294
Restricted funds
R¥sliiLled
24272
23,865
48,137
TOTAL FUNDS
61.190
18241
79,431
A currcnt year 12 months and ptioi ycat 12 tnonth5 ￿mbIn¢d nct mov¢m¢nt in kn, included in th¢ alx>v¢ ar¢
as follows:
Incoming
Movement
in funds
Unrestricted funds
General fuThl
59260
(64,884)
(5,624)
liestrieted funds
Restricted
98,959
(75,094)
23,865
TIYfAL FUNDS
158219
(139,978 }
18241
Pagc 9
continued...

THE MARA RIANDA CHAIUTABLE TRusr
NotLs to the Financial Ststements- continued
for the year ended 31st Marth 2024
RELATED PARTY DISCLOSURES
There were M related party transactions frirthe year ended 3 1st M8rch 2024.
TRAVEL cosrs
The majority of travel costs hav¢ been met by specific th)nations.
Page 10

THE MARA RIANDA CHAIUTABLE TRUST
Detailed Ststement of Financial AL*ivities
for the year ended 31st Mareh 2024
3113124
3113123
INCOME AND ENDOWMEKrs
T)()nAtion$ And legacies
thnations
Gift aid
Lk)nalions- bursaries
74.655
7,570
10281
48.493
6,574
10,379
92,506
65.446
Investment ineome
Interest receivable
Gift aid interest
56
150
61
206
61
Totsl ineoming resourees
92,712
65.507
EXPENDITURE
Charitsble Activities
Sundries
Secondary education
Tertiary education
School supplies & equipment
Teachers support
Building projects
Repairs and maintenance
Community supwrt
Trdvel
637
20.526
273
13,128
5.348
40,711
14,409
693
5,121
1253
19,159
1,286
5253
liJ40
47.849
92,928
Support eosts
FingDee
Bank eharges
Exchange differences
Ac￿UntancY tees
(lJ93)
{574)
(225)
(574}
Total resources expended
47,624
92J54
Net incomel(expenditure)
45,088
{26,847)
This page does noi forni part of the stsllnory financial swements
Page 11

THE MARA RIANDA CHARITABLE TRUST
Charity No: 1102255
Coryany No: 5035681
ADORESS AND REGISTERED OFFICE.. . Catsoate H(￿8. 36 a¥tl8 StreeL Hartford. Hortford$hK6 SG14 1HH
TRUSTEES REPORT FOR THE YEAR ENDED 31 MARCH 2024
The Trustees have pleasure in presenting their Annual Report of The Mara Rianda
Charitsble Trust.
The charity's objectives are to relieve persons who are in conditions of need or
hardship and to relieve the distress caused thereby in Kenya and such other parts
of Africa or the world as the Trustees may think fft and also to advance education
by such means as the Trustees may consider appropriate including by establishing
and operating any educational establishment{s) in Kenya and such other parts of
Africa or the world as the Trustees may think fit
The charity's strateg￿S during this period were to assist both the Mara Rianda and
Enkereri Primary Schools and the local community in the Mara Rianda, Maasai
Mara, Kenya; in addition the continued support of students by way of educational
bursaries.
The Melnorandum and Article5 of A55OGiation contain the provi5iuns which
regulate the purposes of the charty.
The members of the company are entitled to appoint new Trustees at a general
meeting. The existing Twstees may reGommend to the member5 the appointment
of a new Trustee. (Dominic Grammaticas has been appointed a trustee and
director in 2024 - 25)
The Trustees will consider the amounts, rf any, required for reserves in order to
effectively meet the charity's designated needs and planned commitments.
In order to fulfil its objectives and strategy the charrty received funds primarily by
writing to persons who had expressed an interest in 5UPPOrting the sarrE as well
as persons who potentialty may support the charity.
During the year ended 31 March 2024 further funds totalling £92,711 have been
received. We have been able to commence the funding of the building of a new
dormitory, new toilet and shower block and the refurbishment of an existing
dormitory at Mara Rianda Primary School. Funds have also been ulilised to provide
ongoing support to the Mara Rianda Primary School. Enkereri Primary School and
two pre-schools in the Maasai Mara, Kenya as well as the local communty.
Following consultation with the Headteacher and school committee of the Mara
Rianda and Enkereri Primary Schools we have provided bursaries for a fvrther nine
pupils to meet their secondary school fees for the four year duration of secondary
education. To date we have supported 200 children, including 74 girts, to go to
secondary school, of which 153 have now completed their secondary education.
In addilion we support one student at Kenya Medical Training College.

We continue to provide financial support for fve teachers, as well as replenishing
general school suppliés; such as writing materials, books and sports equipment.
The charity has reserves of £79,431 which will be used for the completion of the
building of a new donnitory, new toilet and shower block and the refufbishment
of an existing dormitory al Mara Rianda Primary School.
The charity's plans for the future include the continuing provision of bursaries to
enable students to re￿1ve secondary education and to continue to provide the
schools and local communty with resources.
We believe that our accounts are self*xplanatory and show clearly how funds
donated have been used. Funds retsined will be used to meet the ongoing cost of
providing bursaries, financial support for teachers and the provision of school
supplies.
The Trustees are extremely grateful for the continued assistsnce of Governors,
Camp in helping with all of the logistics in carrying out the charity's work in the
Mara.
The Trustees are also extremely gratefvl for the continued assistance of Deloitte
in Nairobi in providing local payment services.
It is acknowledged that the charity coukl not operate as efficiently as il does without
the enormous support of Governors, Camp and Deloitte.
olin Bird
Nige
Directors and Trustees
ol
9 December 2024