COMPANYMJMBER.. 06854334
REGISTERED CHAIUTY NUMBEK. 1129398
EDP (EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
(COMPANY LIMtTED BYGUARANTEEWtrHOUT SHAPE CAPITAL)
REPORT
AND
FINANCIAL STAIEMENTS
FOR THE YEARENDED 30 SEPTEMBER2024

EDP (EDUCATIONAL DBVELOPMENTPROJECTS) TRUST
rNDEX TO FINANCIAL STATEMENts
FOR THE YEAR ENDED 30 SEPIEMBER 2024
Page No.
1- 3 Trustees, Report (including Directors. Report}
Jndep¢nd¢ni Examin¢r'5 R¢port
Statement of Finaft¢ial A¢tiviti¢s (including Income and Expcnditure Aceouni)
Balance Sheet
7- 13 Notes io the Fina￿1￿ Ststements

EDP IEDUCATtONAL DEVELOPMwfpROJECTS) TRUST
TRUSIEES, ANNUAL REPORT (tNCLUDtNG DIBEcfoRS' REPORT)
FOR THE YEAR ENDED 30 SEpfEMBER 2024
The trustees present their antlual report and financial statements for EDP (Educational DevelopmentProje¢tsl Tn￿t for
thc ycar ended 30 September 2024. The trustees have adopted the provision5 of the Staternent of R￿QmMended
Practicc {SORP) "Accountin8 and Reporting by Charities" (FRS 102) in preparing the annual report and financial
statements of th¢ Charity.
The financial 5tatement5 h4ve be¢n prepwed in a¢wrdan¢¢ with ih¢ 4¢wuntin8 w>li¢ie5 set out in note5 to the accounts
and comply with the Memorandum and Articles of Asso¢iation, lh¢ Chariti¢5 A¢t 2011, the Compante5 Act 2006 and
Accounting and Reporting by Charities.. Stateme￿t of Rccotnm¢Trded Pra¢ti¢¢ appIl￿bI¢ to charities preparing their
accounts in accordance with the Finathcial Reporting Standard applicable in the UK and Republic of Ereland published
in October 2019.
Objttlivo ondAdivtiies
Th¢ objects of the charity are to advanre any purposes which are charitable under the laws of England and Wales from
tim¢ to tim¢ and in particular (but without li]nitation) to ￿VInce education and relieve w>verty for the public benefit.
In shaping th¢ obj¢¢iiv¢s forth¢ year and planning the charity'5 activitie5. Ihc trust£e5 referred io the guidan¢¢ conlained
in the Charity Commission's general guidance on public benefit whell reviewing the rharity's aims and obj¢¢tives and
in planning futtlre ￿tiVIties.
Achievements 4ndPerformrtnee
Since 2009 th¢ ¢harity has fo¢used OJJ raising funds for Awutu-winton SHS. a senior s¢¢ondary s¢h¢x>l in Ghan4 50
km w¢st of A￿ra. We Start￿ with an empty block of land, which h&$ now been transformed into impies5ivc Irafy
¢ampus with a large assembly hall, an impressive library, two science laboratories plus a dome5tlC Science building and
12 general classr(>oms. Through a joint venture s¥gThcd with the Ghana Education s￿Ice most tsf our teachers are
providcd for free, but EDP directs operations 8t)d monitors standards closely, and ￿ntinueS to raise money for new
facilities, general maini¢nan¢¢ and auxiliary stsff.
The School. which charges no fees. aim5 to offer a holistic education and provide fLf5t-cla5s ameniti¢s to promising
youngsteTS frotn very impoverished backgrounds. With a 51udent population of 500 and class 5ize5 of Ics5 than 40-
way below the average in Ghana - students receive mor¢ individual attentlOD. In this way we cAn inert&se their
Dfidenc¢, broaden their horizon& and ensu￿ that ihey make th¢ best use of the talents ihey poss¢ss.
The school h85 se¢n a great deal of progress in 2024. As well as our a¢hievem¢nts in 2023, we installed a partial yolar
system to ￿51$1 in rynning ihe power requirements to help bypass the polluting generator which ne¢dtd to b¢ in use for
much of th¢ time previously due to grid unreliability. The plan is to add to the irtstsllation furth¢r in 2025 to try ond
make the school wholly independent in its green energy needs. Our sporting offer has been boosted with additional
support in the areas of Rugby and Thicket as well as Nctball. Wc are very lucky to hav¢ a wondethl w)ol donaied by
the Princess of Monaeo Foundation, where we teach not only our own students to swim. but also pupils from
swrourtding junior schools. To date nearly 10,000 youngst¢rs have bctn tsught to swim at AWSHS. The sports field
is now in its second year of use and, &$ well as football, w¢ hav¢ started to class¢s in rngby, crickeL volleyball and
athletiC5. For ihe mor¢ ¢r¢otive students, our new Visual Arts Department 15 proving a gr¢al sucrxss, and the next
project will be a Music D¢partment. We have a wonderful team of volunteers on th¢ ground assisting us in all th¢se
v¢nttJr¢s.
Winton Edu￿tional D¢velopment Project Foundation (fomierly known as Awutu Winton Senior High School) is a
r¢gist¢r¢d NGO in Ghana. Since 2013. it has produ¢ed and filed its own accounts in Ghani but it is answerable tr) the
UK charity. which closely supervises its perfom)ah¢e through the Board of Twstees in th¢ UK aThd a small t¢wn of
employ¢es in Ghana.

EDP (EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
TRUSTEES, ANNUAL REPORT IfNCLUDING DIREcfoRS' REPORT) (Continued)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
Total in¢ome and endowment for the year has increased by 4.31% (2023 - 8.35VD) and total expenditure for the y¢or
has increased by 38.44¥0 (2023- decrease of 8.12Y.). Atihe year end the total unrestricted fi]Thd5 was £30.853 {2023 -
£66.6411.
R¢Jen¢s Policy
Th¢ preseni level of funding is adequate to 5UPPOrt the continuation of the ¢harity for the medium term and the tru5tecs
consid¢r the finan¢ial position of the charity to be Satisfactory.
Principal FwNdiMgSour¢
Th¢ prirbcipal funding source for the clwity 15 currently by way of donations.
Smidure GoverNOllCe undmanugemenl
Goveriving DocuméKt
EDP{Edu¢aiional Dev¢lopment Prnjects) Trust is acharitablecon)pany limited by guarantee, incorporated on 20 March
2009. The ¢ompany is governed by its Memorandutn and Artirles of Asso¢iation. It registered as a charity with the
Chority Commission 0Th 5 May 2009. In the event of the company being wound up, all rnember5 Present and 12 months
past ar¢ r¢guired to contribute an amount not exceeding £1.
Recnlitmeni andApPoi￿/rn¢￿1 ofmembers
The directors of lh¢ company ar¢ 3150 ¢harity twstees for the purposes of charity law and under the company's Article5
are known as members.
R¢f¢rence ondAdpnilli51rntion Ddoi15
Charity ￿g￿lIralI0rf mimber..
1129398
Compony registYaÉion number..
06854334
RegisIeredandpri￿LPal office..
135 Little Ann
Andover
Hampshire
SPI 17NW
Dlre¢iors and frnslees
Th¢ Board of Trnstees ¢onsliiut¢s dire¢lors of the wmpany for the purpose of company law and trustees for ¢h¢ purpose
of charity law, with th¢ exception of Nicholas Rob¢rtson, Maxwell John Sayers, Jame5 Lloyd Wi150n and Charlott¢
Ruth Robertson. The trustees serving during the year and since the year-end were as follow5.'
David Alexander LunAn
Inez Aliee Lunan
Nicholas Robertson
m￿Well John SayeTS
James Lloyd Wilson
Charlotte Ruth Robertsort
(non41irector)
(non4lirector)
(non4irector)
ppointed 23 October 2024
(nonaire￿Or) appointed 3 December 2024
Company secretary..
Inez Alice Lwign

EDP (EDUCATIONAL DEVELOPMENT PROJECTS)TRUST
TRUSTEES, ANNUAL REPORT {tNCLUDNG DIREcfoRS' REPORT} (Cont1Thu￿)
FOR TFfE YEAR ENDED 30 SEpfEMBER 2024
Independep￿ Eyaminer..
Barcant Beardon LimitEd
Chartered Accountants
8 BlackSt￿k Mews
Islington
ix)ndon N4 2BT
Bankers..
HSBC Bank plc
6 Commercial Way
Woking
Surrey GU216EZ
St￿¢￿eN¢ ofihe fruslees, Responslbilllles
Th¢ Iru51e¢5 (who, with the ex¢¢ption ofNi¢holas Robertson, M￿Well John Sayers, James Lloyd Wi150n and Chwl(Trtte
Ruth Rob¢rlson, ar¢ also directors of EDP (Educattonal Deyelopmeni Projects) frust for the pyrw)%s of ¢ompany law)
are r¢5ponsibl¢ for pr¢poring the Rep)rt of th¢ Trustees and fin8n¢ial statetn¢Dts in acwrdon¢e with 8pplithl¢ law and
United Kingdom A¢¢ouniing Stondards (United Kingdom Genera]ly Accepted A¢¢ounting Pradi¢e).
Company law requires lh¢ trustees to pr¢par¢ financial statements for ¢￿h financial yew which giv¢ a tru¢ and fair
view of the st*¢ of &ffoirs of the ¢horitsble company &t the balance sheet date and of the incoming r¢SOu￿e$ and
appli¢ation of r¢source& in¢luding income And expenditure of the clmritable company for the financial year. In
pr¢paring those financial statements. the trustees are required to..
Sele¢t suitable accounting rrt)licie5 and then apply them consistently-
Ob5eTve the method5 and principles in the Charities SORP 2019 IFRS 102).,
Mak¢ judgements and estimates that are reasonable and prudent.
State whether applicable UK Accounting Standards have been followed, subject to any mat¢rial departtw¢s
disc105ed and explained in the financial statement; and
Prepare the fmanciaj statements on the going concern basis unless it is inappropriate to presume that the charitable
company will continue in operation.
The truste¢s are r¢sponsibl¢ for keeping adequat¢ ￿CountIng records which di￿105¢ with reasonable accurdcy at any
tim¢ th¢ finon¢ial position of the charitable Company ond enable them to ensure that th¢ finan¢io1 statements comply
with the Companies Act 2006. They ar¢ also responsible for safeguarding the assets of th¢ ¢haritable company and
henc¢ for taking r¢asonable Steps for ¢he prevention and d¢t¢¢tion of fraud and other iThegularitie$.
This report has been prepared in accordallee with the special provisions relating to small ¢ompani¢s within Part IS of
the Companies Act 2006.
On behalf of the board.
Lunan
irecior and Trust¢¢

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES
OF EDP {EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
I r¢port to the charity trus*es on rny examin*ion of the accounts of the company for the year ¢nd¢d 30 Scptcmber
2024, which are set out on pa8e5 5 to 13.
Rtsponslbllldes ond basls ofreporl
As the ¢harity tfU5tees of the Company land also its directors for the purposes of company law) you are responsiblc for
Ihe preparation of the accounts in accordance with the requirements of the Companie5 Act 2006 {"the 2006 Act").
Having satisfied myself that the ￿cOUn[S of the company are noi requir¢d to be audit¢d under Part 16 of the 2006 Act
and are eligible for independent examin&iion, I report in respect of my exominarion of your wmpany's account5 as
atTied out under section 145 of the Charities Aci 20111'th¢ 2011 Act"}. In carrying my cxatnination I have followed
Ihe Dire¢tions given by the Charity Commission under section 145{5llbl of the 2011 Act.
lftdependenl dyominer's sÉolemenÉ
I h8v¢¢ompleted rny exatnination. I conflmi thai no matter has ¢ome to my attention ith cortnection withthe ¢xamination
giving m¢ cause to believe that in arty material r¢5pect'.
accounting re¢ords were not k¢pt in respect of the e()mpany as required by section 386 of the 2006 Aet. or
the accounts do not accord with those record5- or
the acGoutLts do not ¢omply with the O￿oUnting requirements of seetion 396 of th¢ 2006 Art other than any
requiretnent that the accounts give a 'tru¢ aThd fair view. which is not a matter considered as part of an
independent examination- or
the accounts have not been prepared in 8¢cord&nc¢ with the methods princtples of the Statement of
Recommended PTa¢ti¢e for accounting and reporting by charities appli¢able to charities preparing theiraccounts
in accordan¢e with th¢ Financial Reporting Standard applicable in the UK and R¢publi¢ of Ireland (FRS 102).
I have no con¢¢rns and have come acros5 no other matters in ¢onn¢ction with the examination to which attentiort should
be drawn in this report in order to enable a proper understanding of the accounts io be rea¢h¢d.
XS
Shu Fen Chung FCCA ACA
BARCANT BEARDON LIMITED
Chart¢r¢d A¢wunt8nts
8 Blackstock Nlews
Islington
London N4 2BT

EDP{EDUCATIONAL DEVELOPMENT PROJECTS}TRUST
STATEMENT OF FINANCIAL ACTivrrtES (tNCLUDING INCOME AND EXPENDITURE ACCOUND
FOR YEAR ENDED 30 SEPTEMBER 2024
Notes
Restricted Unrestricted
Funds
Funds
Total
Funds
2024
Tot
Funds
2023
Income a￿de￿￿OW￿ePlisfr0m.'
Donations and legacies
Othcr trading activities
Investtn¢nt5
144,895
13,724
169
144,895
13.724
169
148.950
3,075
198
Total ill¢OTN¢ and endowtnents
158,788
158,788
152,223
Erpenthiure on
Cost5 of raising funds
Charitsble ac¢ivities
10.610
183,966
10,610
183,966
4,738
135,811
Total expendibjre
194,576
194,576
140,549
Nei in¢omeJ(exp¢nditure)
(35.788)
(35,788)
11,674
Transfers betsvvn funds
Nel m0￿ment infyn(bfor theyear
(35.788)
(35,788)
11,674
Reconcilialton offyndy
Totsl fimd5 brought fotivard
66.641
66,641
54,967
Totol funds ￿led forward
30.853
30,853
66,641
The 51atem¢nt of financial ￿tIVItIeS includes all gain5 0Dd losses recognised during the year.
All incomc and expenditure derive from continuing activitlC5.

EDP (EDUCATIONAL DEVELOPMENTPROJECTS) TRUST
BALANCE SHEET
AS AT 30 SEpfEMBER 2024
Notes
2024
2023
CurreK¢Assels
Debtors
Cash at bank and in hand
12
17,660
23.554
21.976
52,025
41,214
(10,361)
74.001
17,3601
Crethiors.. amounts f8lling due within on¢ y¢ar
13
Nei curre￿A￿Se¢S
30.853
66,641
Ne¢Assets
30.853
66,641
Fund
Unrc5tricted funds
- General funds
Is
30.853
66,641
Tothl funds
30,853
66.641
For theyear endin830 September2024 the Company wasentitled to ¢x¢rnption from auditunder seetion 477 Companies
Act 2006 T¢lating to small companies.
Directors, responsibiliti¢s'.
The members have nol required the company to obtain an audtt of its accounts for the ytar in quc51ion in
cordance with section 476.
The directors acknowledge their re5ponsibilitics for compl)Yng with the requirements of the Act wilh respect to
counting records and the prepgration of accounls.
These flnathcial siatem¢nts ar¢ prepared in a¢cordanc¢ with th¢ sp¢cial provisioni ofPart 15 of the Companies A¢t 2006
relating to small companies.
Sigtbed on behalf of the board of tr￿Stee$
In¢z Alice LunaD
Director and
15tee
The notes on pag¢ 7- 13 forni part of these financial 5tattments.
Company R¢gistralioTh No. 06854334

EDP {EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 SEPTEMBER 2024
1.0 Aceoundll¥Pollel
The principal acci>unting policies adopted, judgements and key sour¢¢s of estimation uncertainty in the
prepardtion of the financial statements are a5 follow5..
l.J General Erformalion b(￿￿ ofprepL7fL71EO
EDP (Educational Development Projects) Trust is a company limited by guarantcr and has no share capital. In
th¢ event of ¢h¢ ¢harity b¢ing wound up, the liobility in respect of the suarantce is limited to £1 per member of
the tharity. Th¢ regtstered offi¢¢ is 135 Little Ann, Andover, Hampshire SPI17NW
The charity con5titute5 a public benefit entity defiThed by FRS 102. The finaneiai statements havc be¢n
prepared in accordance with Accounting and Reporting by Charities-. Statement of Recommended Practice
appli¢abl¢ to Charities pr¢paring iheir a¢counis in occordance with the Financial Reporting Standard applicable
in the UK and R¢publi¢ of Ireland issued in O¢tob¢i 2019, th¢ Financial R¢porting Standard appli¢able in the
UK and Republi¢ of Iteland (FRS 102), the Chariii¢S Act 2011, the Compani¢5 Act 2006 and UK Generally
A¢ccptcd Practicc.
The financiai stat¢ments ore prepared on a going basis underthe historic cosi convention. Th¢ financiol
ststem¢nts ar¢ prepared in sierling, which is the ￿nCtIOnal curr¢n¢y of th¢ ￿mPanY. Monetary ajnounts in these
fLiiai]cia] 5tateJnents are rounded to the nell￿5t £.
1.2 Fundaccounling
Unrestricted funds are available for use at the discretion of the ¢ru#¢es in h]rtherdnce of the genera] objertives
of the charity and which have not been designated for other purpos¢s. D¢sign8t¢d fvnd5 ore unrestricted funds
earn]arked by the truste¢5 for particular purposes. Restricted funds are subj¢¢t to restrictions on their
¢xp¢nditw¢ imposed by th¢ donor.
1.3 Income recognilion
All incoming resour￿$ ar¢ included in th¢ Statement (Trf Financial Activitie5 (SOFA) when th¢ charity is legally
entiil¢d ¢0 the income after any performance wnditions hav¢ b¢¢n m¢L the amount can be measured r¢ltably and
it 15 probable that the incornt will be rettived.
For donations to be recognised the charity will have been notified of the amounts and the settlement date in
writing. If there ar¢ conditions atta¢hed to the donation and this requires a lev¢] of p¢rfoTm&nc¢ b¢for¢
entitlement can be obtained. then income is deferred until Those wnditions ar¢ fvlly met orthe fulfilmeni of thos¢
conditions within th¢ control of the charity and it is probable that they will be fitlfill¢d.
In¢ome from government and other grants are re¢ogni5¢d at fair value when the charity has entiilement aft¢r any
perfonnance conditions have been met, it is probable ihat the income will be re¢¢ived, Snd the amount can be
measured r¢liably. If entitlement is not met, then these amounti #re deferred.
Income from tradin8 activities includes inco]ne earned from fundroising ¢v¢nts and trading activitie5 to raise
funds for the Charity. Income is received in exchange for supplying g(x)ds and services in order to ralse funds
and is re¢oRnised when entitlement has occurred.
Interest income 1$ reeogrtised when receivAbl¢ and ihe amount can be me&sured reliably by th¢ charity. this is
nornially upoTh notification of the interest paid or payable by the Bank.

EDP{EDUCATIONAL DEVELOPMENT PROJECTS) IRUST
NOTES TO THE FfNANCEAL STATEMENTS (Continued)
FOR THE YEAR ENDED 30 SEFJENIBER 2024
1.4 E¥pendilure recognilion
Expenditure is recognised on an aecnRI basis where there is a legal or ¢o[LSts￿Ct1ve obligation lo make payments
to third porties, it is probabl¢ thaithe settl¢m¢nt will be required 8ndtheamtsuntof the obligation can be measured
reliably. Expenditure is classifiEd under the following headings-.
Costs of raising fijrtds comprise the costs incurred on acliviti¢s that r¥i5¢ funds.
Expenditure on charitable activities comprises those costs incurred by the ¢harity in the delivery of its
activities and services. It includes trK>th costs that can be a]located directly to such activities and thos¢ costs
of an indirect natur¢ nec¢ssory ro supwrr them.
Other expenditure represents those items not falling into any other heading.
Irreeoverable VAT i$ chtr8ed as an expense against the activity for which expenditure arose.
1.5 Suppori costs alloc￿10
Support Costs are those functions that assist the work of the Gharity but do t￿t directly represent charitable
activities and include premises ovetheads, offiec, finance and governance costs. They art incurred directly in
5UPPOrt of expenditure on the objects of the charity. Where support costs canntsi be dirrdly attributed to
particular h¢adings th¢y hav¢ b¢en allo¢Ht¢d io ¢ost of raising funds and expenditure on charitable adivities on
a basis consist¢nt with use of the resources.
J.6 Debiors
Trad¢ and oth¢r deb¢oTS are rw)gnis￿ at tIie Settlement amount. Prepaymet]is are y￿ued at the amount prepaid.
1. 7 Credilor5 andprovisions
Creditors and provisions are Te¢ognised wh¢re th¢ charity has a present obligation resulting from a past event
that will probably result in the transfer of funds to a third party and the amount due to settle the obligation can
be measured or estimaied reliably. Creditors and provisions are nomially rewgnis¢d at their ￿ttlement amount.
1.8 Provi5101
Provisions arc reco8nisd when the charity ha5 an obligation at the balan¢¢ sh¢et date as a result of a past evenl
it is probable that an outnow of economic benefits will be requir￿ in settlement and the amount can be reliably
estimated.
1.9 Foreign currencies
Foreign currency tran58Ctions are initially recognised by applying to the foreign ¢urren¢y amouni the spoi
exchange rate between the ￿n¢ti0t1al currency and the foreign currency at the date of the transaction.
Monetary assets and liabilitiEs denorninated in a foreign curreney at the balance sheet date are translated using
the closing rnte.

EDP (EDUCATIONAL DEVELOPMBNTPROJECTS) TRUST
NOTES TO THE FNANCIAL sTATE￿NTs (Continued)
FOR THE YEAR ENDED 30 SEPtEMBER 2024
2O CHÈicalA¢counllMg Eslimoles andJ#dgements
In th¢ appli¢atiot) of the charity's a¢eounting policies, th¢ tw$t¢es are r¢quired to make judgements. C5timate5
and assumptions about the raTrying of a5srts and liabilities that are not readily apparent from othcr
sources. The estitnatC5 and associated assumptions arc based on historical experience and other factors that are
¢onsid¢r¢d io be rrlcvallt. Actual result5 tnay diffrr frTrm thesc estitnat¢s.
The estimates and undcrlying a5SUmPtions are reviewcd aJL ongoing basis. Revtsions to accounting estimate5
ar¢ recognised in thc period in which thc estimate is revised where the rrvision affects only that period, or in the
pcriod of thc revision and future periods where the revision affects both currctht and future periods.
3.0 Jttcomefrom Donalions 4KdLegt7Ci
2024
2023
Gifts
Gift Aid tax reclaims
Grants
Sundry income
119.239
18,310
1,000
6,346
125,409
22.045
1.496
144,895
148.950
3.1 Incom¢ from donation and legacies was £144,895 {2023 - £148.950) of which £nil (2023- £nil) was attributable
to r¢stri¢ted ahd £144.89512023 - £148,950) was attributable to unrestrictsd funds.
4.0 Incon￿/￿￿ Oiher Trrtdth8Acdvill
Unrestricled
2024
UThrestricted
2023
Fundraising events
13,724
3.075
5.0 InCOn￿from Inveslments
Unrestricted
2024
Unrestricted
2023
Bank interest (UK)
Interesl-other
158
198
169
198
6.0 Erpendlture on R4isin8 Fumds
Unrestricted
2024
Unresuirt¢d
2023
her fundraising COMS
10,610
4.738

EDP (EDUCATIONAL DEVELOPMENfpROJECTS) TRUST
NOIES TO THE FtNANCIAL STATEMENTS (Continued)
FOR THE YBAR ENDED 30 SEPTEMBER 2024
7.0 Analysts ofExpendilure on ChorilobleAcliviliEs
Charitable Activities 2024
Activities
und¢rtak¢n
directly
2024
Support
Costs
Gov¢rnanc¢
costs
Total
2024
2024
2024
Donations to Winlon Education Development
PTOj¢¢t Foundation
School supplies and maintengnce
Travcl Costs
Support costs
Governance
161.279
10.897
8,986
161,279
10,897
8,986
824
1,980
824
1,980
181.162
824
1,960
183.966
7. 1 Charitsble Actiwties 2023
Activities
und¢rtak¢n
directly
2023
Support
C05t5
Governanc¢
costs
Total
2023
2023
2023
Donations to Winton Education Development
Project Foundation
School suppli¢s and maint¢nan¢¢
Travel costs
Support C05t5
GoverDance
125,000
642
7,872
I25,￿0
642
7,872
317
1.980
317
1.980
133,514
317
1,980
135,811
7.2 Of th¢ £183,966 ¢xpendih]re in 2024 (2023 - £135,811). £nil (2023 - £nil) w8s attributable to restricted furtds
and £183,96612023 - £135,811) was attributsbl¢ to unrestricted funds.
8.0 Anulysls f)lSuppori Governance Costs
Support
costs
Governan¢¢
Costs
Total
2024
Total
2023
Office
Finance and professional
Accountancy
345
479
345
479
1,980
122
195
1,980
1.980
824
1,980
2,804
2.297
10

EDP (EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
NOTES TO THE FNANCIAL STATEMENTS (Continued)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
9.11 NerINconW(EyndllureJforlhe Year
2024
2023
This ix sloied ufter chor8in@(¢rediÉing).'
Ac¢ountan¢y and other fees
IndependeTJt examination
990
990
990
990
10.0 Tpuslee Remunerailom qndExpeMseJ
No Irust¢e5 r¢G¢ived any remunera¢ion during th¢ y¢gr (2023 - none). TrAvel and subsistence costs atnounting
10 £2,789 (2023- £1.883) were paid by th¢ charity for two (2023- three) members of th¢ Board of Tru5te¢5.
No Irustte or oiher person r¢lated to the ¢h8rity had any personal inierest in any wntrn¢t or transactiOTJ ent¢r
into by the charity during the ye•r (2023- non¢).
EDP (Educational Developm¢nt Projerts) Trust is considered to pa55 th¢ tests Set out in Paragraph l. Schedule 6
of the Finance Act 2010 and thcrefor¢ it tneets the definiiion of a ¢haritsble company for UK ¢orporation t
purpose5. Accordingly. the charity is potentially ¢x¢mpi from thxation in respect of income or ¢apital gains
ieceived within categorie5 cO￿red by Chapter 3, Part I l of the Corpoiation fax Act 2010 or Se¢tion 256 of the
T&xation of Chargeablt Gain5 Act 1992, to th¢ extent su¢h inwme or gains are applied exclusively to
haritabl¢ purposes.
12.0 Debiors
2024
2023
Oth¢r d¢btors
17,660
21,976
13.0 Credilors.. Amounts Foulng Due Wlihin Ofte Year
2024
2023
A￿ru81$
Deferred income
Other creditors
1,980
1,860
5,500
8,381
10.361
7.360
14.0 Deferred IHcon
Def¢rred income comprises of monies ￿e1Ved in ¥dYan¢e towards an event in Jwie 2024.
Totsl
Balance as at l October 2023
Amount r¢leased to in¢(Trme earned from charitable a¢tiviti¢s
5,500
{5,500)
Bglan¢e as a¢ 30 Sept¢mb¢r 2024

EDP (EDUCATIONAL DEVELOPMENT PROJECTS) TRUST
NOTES TO THE FINANCIAL STATEMENTS (Continued)
FOR THE YEAR ENDED 30 SEPTEMBER 2024
JS.O of Churiluble F￿ndS
UnresiricfedFun&Y- curre￿ Year
Balance
l O¢t 2023
Incoming
Resources
Outgoing
Resources
Transfcrs
Balance
30 Sep 2024
General funds
66,641
158,788
(194,576)
30,853
Upwestric¢edFunds- Previous Year
Balance
l Oet 2022
Incoming
Resources
Outgoing
ResourGe5
Transfers
Balance
30 Sep 2023
General funds
54,967
152,223
1140,549)
66,641
Name ofurtrestriciedftsnd
Descrlpiion, andPurp￿e$ ofihefyk
Generdl funds
The"fr¢c re5eTVeS" after allowirtg for any designated funds.
l&lJ Anatysis ofNdAs5ets behveem F4nd5- Current Yei
Restricted
Funds
2024
Unresrri¢t¢d
Funds
2024
Total
2024
C&sh in bank and in hand
Other net cvtTent as3etsllliabiliti¢s)
23,554
7.299
23,554
7,299
30.853
30,853
Analysis oJNe¢Assets belweem Funds-PrevioM5 Yefjr
Restricted
Funds
2023
Unrestricted
FuThd5
2023
Totsl
2023
Cash ith bank and in hand
Other net eurrent assetsl(liabilities)
52,025
14,616
52,025
14,616
66,641
66,641
12

EDP (EDUCATIONAL DEVELOPMENf PROJECTS) TRUST
NOTES TO THE FtNANCIAL STATEMENfs (Conlinued)
FOR THB YEAR ENDED 30 SEPTEMBER 2024
17.0 RelaiedPoty TrunsactionF
As part of the charity's artivity. funds wer¢ remitted to Winton Edu¢ationai Development Project Foundation
)d this expendiiure is in¢orwTrrated in the Stst¢ment of Finan¢id Aclivities.
Ckne trustee of the charity is aiso a member of the Executive Coun¢il for Winton Edu¢81ional Development
Project Foundation.
Aside from trustee remuner￿1On and expettses di￿10$ed in note 10. three ni¢mb¢rs (2023 - three members) of
th¢ Board of Trnstees and their close fatnilies donated £65.65012023- £78,060) to the charity during the ye￿.
13