Inga Foundation
Charity No 1124688
Financial Statements
For the Period Ended 31st March 2022
Lantydrod( Accountancy
Practs'ce Ltd
8 Queen Street
Los￿￿thI81
Comwall
PL22 OAB

Inga Foundation
Financial Statements
For the Period Ended 31st March 2022
Contents
Page
Charity Info￿ation
Trustees Report
Independent Examiners Report
Statement of Financial Acbvrties
Balance Sheet
Notes

Inga Foundation
Financial Statements
For the Period Ended 31st March 2022
Registered Charity number
1124688
Directorsrrrustees
Mlchaol Hands
Terence Pennlngton
Tlmothy Bayllss-smlth
Wllllam Vanderbllt
Contact Address
Hlgher Penhale
Lostwlthlel
Cornwall
PL22 OHY
Bankers
Lloyd8 TSB
Fore Streot
Lostwlthlal
Accountant and Independent Examiner
Lanhydrock Accountancy
Practlc• Ltd
6 Queen Street
Lostwlthlel
Comwall
PL22 OAB
Page I

INGA FOUNDATION
TRUSTEES. ANNUAL REPORT
FOR THE PERIOD ENDED 31ST MARCH 2022
Hlstory, Objectives and activities of th• Charity
The charity was first formed on 22rKI August 2007". Charty C(xnmission ￿gIStratIon no.
1124688.
The objedives of the Gharity are..
The education of the general publi¢ in agroforesty techniques and in particular but without
prejudice to the generality of the foregoing-.
to promote the Inga theories of alley cropping in the neo-tropical areas of central
America and other humid tropic sites around the world,.
to support the work of the demonstration farms. associated seed banks and on-fami
trials established by the Universty of Cambridge Inga Research Project and its
partners.,
to increase the knowledge understsnding and apprttiation of nOn￿Overnmental
organisations, communty and faming organisalions. of any matters relating to
subsist8n¢e agriculture, foresty, horticulture, silvicullure, agronomics and land
management, and
to make available. or to facilitate the encouragement of the provision of acce88 to,
any demonstration projects, research or educational matenals relating to the objects.
The main activty in delivering this obj'ethve will be the support of specrfic projects in Central
America.
Management and Govèrnance arrangements
The constrtution requires that there be no fewer than three trustees and a maximum of 7.
The Trustees during the year were..
Michael Hands
Terence Pennington
Timothy Bayliss-smith
Iliam Vanderbi
Trustèes are appointed by ordinary resolution of the Board of Trustee8. The Board of
Trustees holds regular meetings and is required to hold at least two per year. Risks to the
charrty are rev￿Wed and policy set at these meetings.
Procedures and policy for grantrymaklng
Projects which the charty may wsh to support are discussed and evaluated by the Board of
Trustees and are assessed according to their contribution towards the objectives of the
charity.
Achlovements and perfomiance of tho Trust
Field operations in our target countries have continued in exact accordance with th8 Stated
Objects of the Charitable Trust. The main highlights of the year are..
Extension work to subsistence famiing families has continued in the Foundation,
principal project area in IAYO nver catthments on the Cordillera Nombre de Dios
Honduras, as planned. Much of this has involved existing families extending their
plantings.
Page 2

In Madagascar, Davis Randriamampionona conts'nues to Introdu￿ his Aca¢ia-based
system to the communrties around his base at Ifarantsa.
In Honduras, ¥￿ estimate that the totsl number of trees planted since 2012, in all
configurations of the Guama Model, is now around 5 million.
Increasing Int&￿st has been shown in the Guama Model by other Govemment
agencies in Honduras. These include.. Foresty: Food Secunty and Agnculture.
The Foundation was entrusted by the lo¢al Agricuiture Ministy (SAG) to distribute
many tonnes of fertilizer and seed of basic grains. These were donated to
"Guam8ro" families in both tiver valleys. Similady. the quasi-govemment agency
CREDIA entrusted us to distribute tools and equipment CO8ting $48,000.
Inga Foundation (USA) continues to give invaluable support in fund¥aising.
The Foundation has an agreement with the German coffee chain Tchibo and their
Honduran intemiediary Beneficio de Café Montecnsto S.A. {BECAMO) to train pairs
of technicians and coffee famiers in Inga agroforestry as a means of diversrfying
produdion and imparting resilience to climatic extremes on their 8mallholding8.
The 12 ha. demonstration fam at Las Flores in the Cuero valley 18 now fulfilling its
function in demonstrating all Gomponents of the Guama Model. The old decayin9
house has been razed and has been replaced by a more substantial structure
capable of housing small numbers of visitors.
Flnanclal rovlew
The charity has raised signfficant funds and has continued to 8UPPOrt its main charitable
projects. The charity has made a deficit in the year of £16.055. Thi$ has bèen funded from
brought forward. Th8 charrty holds reseNe8 of £35.202.
Signed on behalf of the TNstees
IG
Mike Hands (Trustee)
Page 3

In
a Foundation
Inde
endent Examinerfs Re
ort to the Trustees
I report on the accounts of the Inga Foundatson for the period ended 31* March 2022,
which are set out on pages 5 to 9.
ReSpe￿ve responsibilities of tn￿tee9 and examlner
The charity's trustees consider that an audrt is not required for this year under the
Charrties Act 2011 (the Act) and that an independent examination is need&J.
It is my responsibilty to..
examine the accounts..
to follow the procedures laKI down in the General Directions given by the Charty
Commission. and
to state whether particular matters have come to my attention.
Basis of the independent examIno￿3 report
My examination was carned out in accordance with the Gerwal Directions given by th8
Charity Commissioners. An examination includes a revi8w of the accounts'ng rècords
kept by the charity arKI a Comparison of the accounts presented with those records. It
also includes consideration of any unusual rtems or disclosures in the accounts, and
seeking explanations from you as trustees conceming any such matters. The procedures
undertaken do not provide all the evKlence that would be required in an audit, and
consequently I do not express an a￿lt O￿nIOn on the view given by the ac¢ounts.
Inde￿ndant examlnerfs statement
In the course of my examination, no matter has come to my attention..
111 which gives me reasonable cause to believe that in. any material respect, the
truste8s have not met the requirements to ensure that..
proper accounting records are kept in accordan￿ with the Act: and
o accounts are prepared which agree with the accounting re¢ords and
ompty wrth the accounting requirements of the Act., or
(2) to which, in my opinion. attention should be drawn in order to enable a proper
urKlerstanding of the accounts to be reached.
Brian Smith aA CPFA
Lanhydrock AC￿untancY Practio Ltd
6 Queen Street
LOS￿rthle1
Comwall
PL22 OAB
Page 4

a Foundation
Statement of Financial Activities
For the Period Ended 31st March 2022
UnreStrfc￿ Re8trktod
Fund•
Funds
2022
2022
Totsl Funds Total Fund•
2022
2021
In¢omlng re80ure•s
Voluntary incom8.'
Donations and Grants
Acts'vitses for generating funds
Investment income
69,559
69,559
68,692
Total Ineomlng rn•ourca•
69,559
69,5S9
68,692
Ra8ource8 •xponded
Co•ts ot g•n•ratlng fund•
5.716
5,718
443
Ch•rhable a¢tlvftl••
77.849
77,849
51,734
Govornan￿ co•1•
2.050
2,050
2,723
Totsl rn8ourcM •xp•ndod
85,614
85,614
54,900
Net Incomlng reourcm bofore oth•r
rn¢ognl8ed galn•
-16.055
-16,055
13,792
Gro88 tran•f•rn b•tw•on fund8
Oth•r r•¢ognl•od galn8
Not movem•nt In fund•
-16,065
-16.055
13,792
Reconcllllatlon of funds
Total fvnds brought foThvard
51.257
51.257
37,465
Total fund¥ caryiod forward
35,2
51,
Page 5

In
a Foundation
Balance Sheet as at 31st March 2022
2022
Flxed A88ets
1.050
1.401
Current Assets
Cash at B8nk
Debtors
45,383
68,764
45.383
68,764
Currnnt Uabllltlos
Credilorn: amounts lalling due w7trun one ygar
11.232
11.232
18,907
18,907
Net cu￿nt A•8•ts
34.151
49.857
N•t A89•ts
61.
Unrn¥trkt•d fund•
Rgstrlctod fund*
35,202
51.257
Total fund•
The aceA>unt8 on pages 5 to 9 approved by th8 Tru8te68 on 181h N￿rnber 2022
Signed on beh4f ol the Trust
Michael Hand8 (Tru8te81
Page 6

Foundation
Notes to the Financial Statements
ccountln
Ba818 of Accountlng
The financial stateménts have prepared under the histthical ¢>)st a(xountlng rul88 and the
statement of Re(x¥nmended PractKe'. Acc¢￿￿1￿ arKI Rewrting by Cttamies 2015.
Fund Accountlng
Unroslrictfjd funds are availabl& for use at the th8tt8tion of the trustees in lurtherance of the general
obiect(ves of the tharity.
Desinaled funds are unrestricted funds earmarked by the manage￿nt Commrttoe for a partO¢ular
purkx)se.
Restricted funds are $uL¥'erted to rO8trictsons on their eX￿drt￿rfr imFosed by the ¢Jonor or through
t•mi3 of an appeal.
Incomlng Rosour¢
AJI incoming resources are I￿Ude￿ in the stalernenl of financial ac1V￿8$ when thg charity18 entitled lo
the Sncome and the amount can be quanlthed ￿ rgasonable a¢¢uracy. Tho fdlowng spedtk policie8
ar• applied lo part*cul$r cattyories of income"
Voluntsry income is received ty way of grants. d￿atiOnS aThl gffts and 18 Ir￿￿ded in full in the
Statem•nl of Fin8rKial Ath'vrtl8s receivable. Grants. where entillemenl is not conditr'onal on the
dellvery of a speiific porftvmance by the tharity, are reeognised %then the chanty become5
uncondllionally entitled lo the grnnt.
Donated serwce$ and facilities arn irKIL#Jed al the value to the chanty ￿ere this can be quantified. The
value of servlces provided by volunteers has not been Includ6d in those ar£￿nts.
Investment Income is Included wh4M receiv5￿8.
Incoming resour¢6s Irom charrtable tradin9 actiwty are arxountsd for eamed.
Incoming re¥ources from grants. where related lo perfonnance and spgcifi¢ deliverable8, are a¢counled
for as Ihe charity oams the nght to consideralion by its perfommnce.
R••ourGH •xp•nd•d
Expenditure 18 recognised on an ac¢rual bass as a lialxlty is Inwrr•J. Ex￿dIt￿re Indudes any VAT
vthieh cannot be fully recovered. arby is reP￿ted as part of the gxperKlrture to which rt relates."
Costs of generating funds comprise ￿sts a88tsiated attracts'ng volLmlary income and the costs
of trading for fundraising purposes.
Charitsble expenditure eomprrses those costs ir￿￿￿ed by th8 tharity in the dellvery of it8 aCtI￿tieS and
servlces for ils toneficiaries. It includes costs that can be allocated dIr￿dY to such activitres and
tho¥e costs of an indire¢t nature necessary to support them.
Govemance costs include those costs asswated with meeting Ihe eonsttutional and statutory
raquirements of the thanty 8rwJ indude the audit fees and c¢￿ts linked to ￿ strategie man8gèment of
the charity.
All costs arg allocated betsveen the eyperKliture categorres of the SOFA on a basis designed to ￿fflect
the use of the resource. Costs relats.ng to a particular acbwty are allo¢*ed dirody, others are
apwtioned on an appropriate ba*'s
Page 7

In
a Foundation
Notes to the Financial Ststements
Debtor8
continued
2022
2021
Trade debtors
3 Crodltor8: amoun1• falllng du¢ wlthln on• year
2022
2021
Trade credit￿$
Accruals
10.392
18.187
720
Donatlons
Un-
rn$trfCt￿ Ro8trl¢t•d
Funds
Funds
2022
2022
Total
Fund•
2022
Total
Fund8
2021
General donatK)ns
Grants
Gift Aid
68,091
68,091
67,992
1,468
,55
1,468
69,559
700
,69
6 Total Rnourc•• Expgnd•d
C08ts dlrnctfy allocalod to actJvftl•s
Direct donats'ons to projects
Costs incurred on behalf of projects
Travd costs
59,348
1,264
4.717
59,348
1,264
4.717
15,000
36,500
Support ¢08t8 allocated to actlvlll•s
Website arKI online activrtes costs
Public
Accountancy and bookkeeky.ng
Fundraising fees
Legal costs
Bank ¢harges
Travel costs
Depreciation
Office expenses
Total resources expendgj
750
750
16,459
480
191
4,115
12.344
2,060
191
360
92
1,144
175
92
1,144
350
820
85,614
210
175
467
302
54,900
820
2,050
5.716
77,849
Page 8

In
a Foundation
Notes to the Financial Statements
6 Dopre¢latlon and Flxed As60ts
continued
Equipment
C08t
Balance 1st April 2021
Addib'ons
Balance 31•t Mareh 2022
6,943
Depreclation
Balance 1st April 2021
Charg8 for Year
8alanc• 31•1 March 2022
5.542
350
5,892
Balance 1st Aprll 2021
1,401
Balan¢• 31•t March 2022
1.051
7 Anaty818 of not aM•ts botw••n fund•
G•neral
fund•
na¢8d RKtrl¢t.
lund•
•d fund•
Total
fund8
Tangible fixed a8sat8
Current as$&ts
Current liabilith'es
1,051
45,383
-11,232
35,
1,051
45,383
-11,232
35,202
Movem•nt In funds
11 511
Rmtrkted Funds
Honduras Project
Unr•8trl¢t•d Funds
General lunds
51.257
69,560
45.615
35,202
51,257
Total resources expended
51,
57
35,202
9 Tran8actlons wfth related parths
There are no tranS￿"OnS with related parties other than trustees expenses.
Page 9