REGISTERED COMPANY P4UMBEL. 06647591 (England and Wales)
REGISTERED CHARrrY NUMBER: 1127739
R•port Of th• Tru•tws and
Un•udlt•d FSn•nelal Stat•nwts
for th• Y•ar Endèd 31 Au9U•t 2024
ft•r
Morottan Chlldr•n'$ Tru•t
aayton & Brewill
artered Accountants
Cawley House
149-155 Canal Street
Nottlngham
Nottingharnshire
14GI 7HR

Mor¢Keafv Chlldrnn's Trnst
Cortents Ofthe fifiaftdal SL4t•m•nts
for the y&•r •Trd•d 31 2024
Paq•
R•port of th* Tru•tw•
Ind•p•nd•nt Ex•mln•r'$ Raport
Statwn•rt of An•nd•l Athltl••
B•l•nc• Sh••t
Nots• to th• Fln•ndal knnts
5 to 8
D•tall•d Stat•m•nt of Pln•nd•l Actlvltl••

**Moroccan Children's Trust** 

## **Report of the Trustees for the year ended 31 August 2024** 

**Toe trustees who are also directors of the charity for the purposes of the Companies Act 2006, present their report with the financial statements of the charity for the year ended 31 August 2024. Toe trustees have adopted the provisions of Accounting and Reporting by Charities: Statement of Recommended Practice applicable to charities preparing their accounts In accordance with the Financial Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective 1 January 2019).** 

## **STRUCTURE, GOVERNANCE AND MANAGEMENT Governing document** 

**Toe charity is controlled by its governing document, a deed of trust, and constitutes a limited company, limited by guarantee, as defined by the Companies Act 2006.** 

**REFERENCE AND ADMINISTRATIVE DETAILS Registered Company number 06647591 (England and Wales)** 

**Registered Charity number 1127739** 

## **Registered office** 

E5 Belvedere 152-158 Dyke Road, Brighton BN1 5PA 

**Trustees 0 Roy C E Hands A Belorf S H  Booth M M C Brichard NJ A Denison SL Sibley** 

**Independent Examiner Clayton & Brewill Chartered Accountants Cawley House 149-155 Canal Street Nottingham Nottinghamshire NG1 7HR** 

**and signed on its behalf** 

**0 Roy - Trustee** 

**Page 1** 



Jndepffident examinor's rwrt to th• trn•tM• •f Morocan Tru•t {*h• Compan￿)
I report to the d￿r6ty In￿tee$ on my examkn￿ of the 4xcounts of the Company for the year ended
31 Nugust 2024.
As the thailty's trustees of the C&)mpany (ath1 also Its thrertots for the purposes of company Law) you
are resFrf>nsltAe for ￿ p￿paratIon ol the accounts th accordance wlth the requirements of the
Companles Art 21K6 {Ihe A¢Y).
Havkng saUsfled myself that the acc¢￿ftts of the coM￿nY art not rewlred to be audlte<l under Part 16
of the 2[K￿ Art and are elNJible for Independert examlnatlon, I report In respect of my examlnatlon of
your clwity's accounts as carrled out urKler Secltr)n 145 of the a￿￿tIeS Att 2011 ('the 2011 Art,). In
carryhig Out my examinatlon I h4v¢ fvllowed the Dlretti¢)ns *ven by the Charty Comrnlsslon under
Sectyon 145(5) (b) of the 2011 Art.
Ind•p•nd•nt •xamln•r'8 •t•tem•
I have completed my examlnatkni. I conslrni that no matters corne to my attertb)n kn connection
wlth the ex•mlnatlon gmng me cause to belleY•*'.
accountlng records nrt kopt In respect ol the Conyny as rewlrtd by Sertton 386 of the
21Th Act.. or
the accounts do not accvd wlth those reconls: or
the èccounts do not comply wlth the accountlng r￿UIreMents of Stttion 396 of the 21M)6 Act
other than any requirEment thrt the accounts &lve a true and falr Nlew whlth Is not a mètter
con$kiered J$ part of an Indep￿dent exarylnatlon. or
the accounts have not been prepared In accordance wlth lthe n*tho(ts prlndples of the
Statement of Rexommendeo Practlce x¢L￿ntIng and rg)ortOng by chwlties (applkable to
chartlJe$ F￿￿1￿19 thelr 4Kcounts In •ccorylm the ￿n￿d•1 st￿dar￿ appllcable
ID the UK aThl Wubk of Ireland (FRS 102)).
I have no concems and have come a(rnss no other matters kn connectlon the examlnatlon to whlch
attentlon shouhj be drawn In thls rwrt kn ordtr to enth a undertJn(kng of Ihe accounts to be
Yvonne Jjckwn Bsc (Hons) FCA
Clayton & 8rewlll
Chartered Accountants
Cawley House
149-155 Cartal Street
NOt￿nghaM
Nothngh4wnshlre
NGI 7HR
Oate: ,,.....,
Page 2

Moroccan Chli drnft'• Trust
f•r the y￿r ended 31 Augugt 2024
2024
Totsl
funds
2023
Total
funds
fund
funds
INCOME AND ENDOWMENTS FROM
Donations le9acies
22.479
22.479
67,418
Other tr&Jlng actIv￿leS
Investment Income
21,014
103
21,014
103
624
iii
Totsl
43.YJ6
43,596
68,153
EXPENDITURE OM
Ch•rltable a¢liviti4•
a)arltable actlvltes
60,467
60,467
75,817
NET INCOME/(EXPEIKJrruRE)
(16,871)
(16,871)
(7.664)
RECONCIUATION OF FUNDS
Total funds tjrought forward
22.560
22,560
30,224
TOTAL FUNOS CARRIED FORWAAD
22.560
The notrs ft>mi part of these fknandal statements
Page 3

Moroc4w Children's Trnst
Balanc• Sh••t
31 Aupu8t 2024
2024
Total
fvnds
2023
Total
funds
fund
fijnds
CURRE14T ASSETS
Cash al bank
6,673
6.673
23,502
CREDITORS
Amounts falllng due wlthln one
{984)
(984)
(942)
22,560
TOTAL ASSETS LESS CURRENT
LWXLMES
5,689
22,560
22,560
FUNDS
Unrestrlrted lunds
22,560
TOTAL FUNDS
5,689
22.560
The tharltable company Is entltled to eXem￿on frofn audlt under Sertjon 477 of the Companles Act
2006 for the year ended 31 August 2024.
The members have not requlred the cornpany to obtsln an audlt rf Its flnandal statements for the year
ended 31 August 2024 In accorfance wlth Sectlon 476 of the Companles Att 2￿)6.
The tNStees acknowledge thelr responsI￿l￿e$ for
(a) en5Utlng that the charttable company keeps accountkig records that comply wlth SectIor￿ 386
and 387 of the Companies kt 2C￿ and
(b) prepar1ng financlal statements whkh glve a true and falr vlew of the state of thlrs of the
tharttable company as at the end of each fknandal year and of Its surplus or defidt for eath
flnancial year In accordance wlth the requlrements of SecUon$ 394 and 395 and whlch othenylse
comply vdth the requlrrynents of the Companies Art rekiting to finandal ststements, so f4r
as appllcable to the d￿r1¢atye company.
These financlal statements have been wepared In attordance wth the prowslons appllcable to
charltable companles subjett to the srnau companles reglnx.
The flnanclal ststements were approved by the P•Jard of Trustees and aLrthorlsed for Issue on
Sl S.i.Tr.C........ and were signed on Its behalf by:
O Roy- Trustee
The notes fomi part of IJ￿se finanoal State￿nts
Page 4

Mw•¢an Childven'• Trnst
for th• y￿r •nded 31 Aupu•t 2024
ACCOUNTING POLICIES
Bas1* ol pr•parfng th• flnandal jtstanents
The finandal statements of the charftable conwanyi whlch Is a publlc benefft entlty under FRS
102, have been prepared in accordan￿ with the Chartttes SORP (FRS 102) 'Accounttng and
Reportfjno by O￿TItIeS.. Statement of Recommended Prathce applicable to charities preparfng
thelr accounts In accordance wlth the Hnanclal Reportlno Standard appllcab* in the UK and
Republic of Ireland (FRS 102) (efftctlve l January 2019),, Fknanclal Reportlng Stsndard 102 The
nanclal Repjrting Standard applkable In the UK and Republic of Ireland. and the Companies Art
2006. The flnanclal Statements have L*en wepared under the hlstortcal cost conventbn.
In¢om•
All Income Is recognlsed In the Statement of Flnanclal Arttvltles once the d)arlty has entijernent
to the funds, it 5s probable that the Income be ￿CeIved and the amount be measured
rellabty.
Exp•ndltur•
UablI￿leS are recognlsed as expendlture as soon as there Is a legal or constructlve obllgatlon
commlttlng the chat1ty to that expendlture, It Is probable that a tran5ftr of economlc beneflts wlll
be requlred In settlement and the amount of the obllgation can be measured rellably. Expendlture
Is accounted for on an accru*s basls and has been dasslfied under headlngs that aggregate all
cost related to the category. Where costs cannot be dSrectly attritxrted to partb￿lar headings they
have be￿ allocated to actIV￿leS on a basls conslstent wlth the use of resour￿.
T•xatlon
The chartty Is exempt frDm corporatlon tax oft Its tharthle &t1¥￿es.
Fund a¢¢ountlng
Unrestrktsd funds can be used Sn accordance wlth the d￿rItsb1e obJectlve5 at the dlscretlon of
the trustees.
Restrlcted fvnds can only be used for partknlar restrStted pury)oses wlthln the objerts of the
charlty. Restrlcdons arlse Wh￿ 5Feclffed by the donor or when furKls are ralsed lor partlcular
restrfthd purposes.
Further eX￿ana￿Tr of the natyre and purpose of each fund Is Ind￿led In the notes to the
flnandal statements.
OThER TRADING AcfivmES
2024
2023
Fundnlslng events
21.014
624
INVEsfMENT IP4COME
2024
2023
De￿SIt account irterest
103
iii
Page 5
contlnued...

for th• ywr •nd•d 31 Augu•t 2024
TRUSTEES, REMUNERATION AND BENEFITS
There were no tn￿ee5, remuneratlon or other benefits ft*r the year ended 31 Awu5t 2024 nor for
the year ended 31 August 2023.
Truat•e8' •xpen•
There were no trustees, expenses pad for Ihe ￿ar ended 31 Auoust 2024 nor for the yèar ended
31 August 2023.
COMPARATniES FOR THE sfATBIENT OF FINANCIAL ACTIVZTIES
Total
funds
fund
funds
ThICOME ANO ENDOVIMENTS FROM
Donatlons aFKI legacles
46,528
20,890
67,418
Other tradlng acdvbtles
Investsnent Income
624
iii
624
iii
Total
47,263
68,153
EXPENDITURE ON
th•rltable actlvltl•s
arltable attiYite5
54.927
75.817
NET INCOMEI{EXPENDrruRE)
(7,664)
(7,664)
AECONCILIATION OF FUNDS
Total furmls brought fr>rward
30.224
30,224
TOTAL FIINDS CARRIED FORWARD
22,560
22,560
CREDrroR&. AMOUPITS FALUNG DUE wrrHIN ONE YEAR
2024
2023
Accrued expenses
942
MOVEMEKf IN FUNDS
Net
movement
In fvnds
At 1.9.23
31,8,24
Unrestrlct•J funds
General fijnd
22,560
(16,871)
5,689
TOTAL FUNI>S
22,560
(16,871)
5,689
Paoe 6
cortSnued...

Moroccan ChildMn'$ Tru•t
Nrt•9 to the Pkn•ndal STat•ments. c•nlinu
for tha y•ar •nd•d 31 Augurt 2024
•IOVEMENT IN FU14DS - contlnu•d
tlet movement in funds, Induded mi the al￿Ve are as follows:
Intomlng Resources Movement
resourtes expended
in funds
Unre*tri¢t•d fund•
General fiJn(J
43,596
160,467)
116,871)
TOTAL FUNDS
43,596
(60,467)
(16,871)
C•mparatfv•s for movan•rt In fund•
Net
movement
In funds
At 1.9.22
31.8,23
Unr•Jtrl(t•d fi•nd#
Gener* fvnd
30,224
{7,664)
22,560
TOTAL FU14DS
30,224
(7,664)
22,560
Comparatlve net MoV•n￿t In lunds, Included In the above as follows..
Incomlng
resources
Resources
expended
Movernent
In funds
Unr•Atrl¢t•d fund•
General Ihjnd
47,263
(54.927)
(7,664)
R•*rlthd fund•
Contre Amane projett
(20,8g))
TOTAL VUNDS
68,153
(75,817)
(7,604)
The Volunteer Programme supP￿ts people who w15h to volunteer for the d7arlty In Morocco.
Those Indiv1dua￿ make a flnanclal contrlbutron to thetr Ilvlng costs and the char￿Y provldes board
and l(>aging, and practi￿1 support for thelr volunteermg whllst they are in Taroudannt.
Centre Amane Is the tharitles soda wor* centre for thlltren and fèmllles In djfflcult
cfjrcum5tsnces. Thts ensures ¢¥egfver5 have the capadty to care for theSr chlbjren independenljy.
They belleve In deinsututionalisation, the Idea that clmltjren thrlve best In Safe and lovlng home-
not residential centres. Through gatekeeplng practices, they keep famllle5 together by provldlng
sUp￿rt requlred for them to stsy together.
Page 7
continued...

Plotes to the Flnanclal &atem•rts . ¢•nt5nued
for th• y•u qnd•d 31 August 2024
RELATED PARTY DIS(XOSURES
There were no relatsd party tr￿n￿lSOn$ for the year end￿ 31 August 2024.
dge8

Mor•¢aft Chldrtn's Trust
for t1￿ y•nr •nd•d 31 AugU•t 2024
2024
2023
INCOME A14D ENDOWMENTS
Donatlons and l•gad
Donations
Standing orders
Grants
Fosterlng
11,509
36,038
5,095
20,890
5,395
4,876
22.479
67,418
Oth•r tradlng adl¥ltl••
Fundrawng events
21,014
624
Inv••tm•nt Ino)m•
De￿it account interest
103
iii
Total In¢omlng r•wurrn•
43,596
68,153
EXPENDTfuRE
Charlt•bh adlvltl••
Accountancy
FAPE
Other
Charge5
942
74,537
300
59.348
100
35
fj0,467
75,817
Total resources expended
60.467
75,817
N•t •xp•ndltUT•
(16.871)
(7,664)
Thls page does not form part of the ststytory finandal statements
Page 9