REGISTERED CHARITY NUMBER: 1142295
Unaudited Ftnancial Statemc4]ts
for rhe YeaT Endtyj
Wclli¥)rin
Gre￿W￿d Williams ￿mItrd
14 Hwr, The SynLS Building
Bumpers Way. Bumpets Farni
Chip[th￿l
Wiltshire
SN14 6111

Wellb(*irt
Conientsof the Financial
tatements
RqMwL of theTn]stcts
Indekxthni Examinefs Rwi
Statement of FinaKial Activitic5
Bala[￿e Sheet
Nrrtcs to the Financial Ststcm•
Detailed Ststrmentof Financi￿ A¢tivttie5
Io

R ort of the Tnwees
for the Year Ended 31 D￿ernber 2024
The Irustees present their rcFKXt with r]na￿la[ of the charity for the year en￿ 31 Decernber 2024. The
trustees have ￿00¢d the provisions of Accounting arml Rcwting by Tharilits stsiement of Recommended Prxticc
applicable 10 charilies prcparing their acayjnts in ac¢ordance with the Firwicial Reporting Standard applicable in the
UK atxl Republic of Ireland (FRS 102) (effective l January 2019}.
WellBoring w&s regisiered as a UK Charity in 2011. Its. purwjse is to improve bts1(￿ edJc*ion and communiry welfare
by woviding su51ainable safe waler soluti￿8 main￿￿1￿¢. hygiene training and water edu￿l￿n, working in partt*rship
with communilies, mo#ty ccntruj on ￿hl￿A5 ITh SU￿sahara￿ Afri
In aiklition to the UK *tivtti4 WdlBLYill8 a SI￿lfiCant1Y greater wesence thrtyjgh fund5 and prOj￿ts carricd ijut
111 its name and on its behalf dIr￿Y in African ¢(￿nIne& aThJ with tfs inwt.
The WellBoring f￿llY is made up of five (wnisatiOTts'. the UK Tharity, a Cfvrithble fourthion in rhe US called The
W¢llBoring Foundatiorn a Clh3ritable Fwndation in Gern￿ny callal WellBoTing Germarhy. a Charitable Fojndation in
The Gambia ca]led WellBon"ng WeA Ath"¢a al￿ an implement*1￿ arm based in Kenya call￿1 Wellb)ring
Groundw*cr.
The accounts show income rttuvcd by thc UK of £177k. This SPA of the overall funds broLk8ht in by the
WellBoring family of £312k. wilh the ba]ance funded in Kenya. The Inclusi￿ of ith¢ome rarricd forward fTom the prior
yeaT wtyjld irtre4se the UK i￿al 10 £250k and ihe WellBon"ng family tIAal to £385k, with the UK share incrcasing to
65•A while reducing the PTior peTi(¥J UK total to £205k. llh7e are ihe figurts to be used fLW eomparative purptsscs.
li shwld Fg ¢mphagised the W¢llBortng charity. regist¢r¢d in the UK has ovusighi of all of this work working
Closcly with WcllBoring Grwndwater, the Communrty B￿d NGO resi￿ered in K¢4
Sbiice the foThnation of WellBoring in 2011, these t￿l11c5 have c4)mplded over 450 wdls irnproving lh¢ lives of
around 51K),O(M) kxople thriyjgh the ￿￿0￿510￿ of safe walcr.
Governlng do¢ument
The charity is controlled by its governing th￿men( a deed of constitutes an wiinc0ry￿Ncd ¢harily.
REFERENCE AND ADMINISTRATIVE DETAILS
Rtgistered Ch*Tity nwnb¢r
1142295
Prlnelpll ￿dresS
51 st.mary Str
Chippenham
Wiltshire
SN15 3JW
Truste
N Linacre {Te5igKd l.1.24)
P Johnson
R K Kongo
Ksonko
N W White (apwJin¢ed l.1.24)
ludependent Examltter
Tanya Williams
Greenwc*)d Williams Limited
I￿ Floor, The Syms Building
BumpeTS Way, BUMTXTS Farm
Chippcnham
Wiltshire
SN14 6LH

WelllM"
of the Trustees
f the Year Ended 31 D¢e¢mber 2024
Approv¥J by order of the board of tru51ec5 ¢)n............................................. and sigTh&4 on its behalf by..
N W White- Trustee
e2

welli￿.￿
Indepe￿ent exwDlner's (• the trwstees WellbDtkn¥
I repm io Ihe ¢hariiy inkstetts on rny eXamiN1(￿ of the xcounts of Welllx>ring (th TTUSt) f￿ ihe year ended
31 December 2ff24.
ResponsiThilltles and btsii of report
As the charity trustees of the Trust you are ¥W￿nsible fLY the preparation of the pxcounls in accordance with the
requir•nents of ihe Chariiies Aci 2011 (Ihc Aci).
I rq)ort in res￿ of my examinati￿ of the Tnjas carried un¢kr knkon 145 of the Act and in caryin8
my exam)r￿til￿ I ￿ve foll¢)wed all apWi¢a)ie Dirtcti(n% given by the awity Commisyon under Section 14515)Ib) of
theAa.
Independent eAaminer's St*temen¢
I have ccmpleird rny examiTwlion. I c(￿rIrM tha¢ Th) mamal matt￿ have come to my attention in conne£tion with th¢
examination 8ivin8 me cause to bdieve th* in any materia] respttt..
accounting rwords wrre nol kept in T&Te£t of the Trud &$ by Sedion 130 of the Acl. or
the accounts do not accord with those rttotd&"
the aecounls do not comply wilh the applicable requir￿nents ¢o¢x¢ming the forni and content of accounts set out
in the Charili¢s {Acc￿nts and RetM)rtsl Regulations 2(Y)8 (*her than any reqUi￿eThI that the accounts give a
twe ar)d fair ￿¢W whi¢h is a matter corksithr¢d as part Of￿ indepthi examin￿10￿.
I havc no concerns and have ¢om¢ acTOSS TLO other matters ¢onnetii(m with the examit)ail￿ io which atteniion stmwld
be drawn in this report in ￿der to cnable a prw under5taTKtin8 of the accwnts to be rtaehcd.
Tanya Williams
Greenw(MMI Williams Limit
Floor. The Syms Building
Bumpers Way, Bumpers Fami
Chippcnham
Wilishire
SN146t
Date: .
Page 3

wel1t￿rIn
Slat
024
Period
1.4.23
Ytar End¢J
31.12.24
T(rtal
fvnds
31.12.23
Total
funds
Unrtstricfrd Remricted
fund
fur
INCOME AND ENtM)WMENTS FROM
Donations and lega¢ies
$2JSO
124.797
177,147
274.058
Investmut inc(th)e
374
374
Tot*1
52,724
124.797
177,521
274.058
EXPENDfnyRE ON
Charitjible actlvlties
Water well boring
58.411
175.547
233.958
216,340
623
Total
58,41 I
175.547
233,958
216,963
INCOMMEXPENDITURE
(5.687)
(50.750)
150.437)
57,(F)5
RECONCILIATION OF FUNDS
Totd funds knughi fojward
14.9)7
66910
81,907
24,812
TOTAL FUNDS CARRIED FORWARD
9JlO
25.470
81.907
Tr nues fcm w of fiTh*Kial #attn*nL8

Well
Deccmber 2024
31.12.24
Total
fun(Ls
31.12.23
Total
funds
UnrLstricttd Re*icted
fund
N(Ac5
CURRENT ASSETS
Debtor5
Cash al Imnk
9297
32.413
9,297
135,327
2,961
113.8(VJ
102.914
41.710
102.914
144.624
116.770
CREDrroRS
Atnoun15 falling due within ¢￿e ye4r
(314(Kl)
(86.754)
(119,154)
134.863)
NET CURREI¥T ASSETS
9JlO
16,160
25,470
81,907
TOTAL ASSETS LFSS CURRENr
LIABILITIES
9JlO
16.160
25.470
81.gJ7
NET LSSETS
9JlO
16.160
25.470
81.9)7
FUNDS
UnTes¢ri¢*d funds
Restricted funds
9,310
16.160
14.997
66.910
TOTAL FUNDS
25,470
81,￿?
The financial 5tatern
were approved by iht Bo¥d of Tru&ees aNJ auihorised for issue
9.￿4¥￿.*.....￿N... and wete signoj on its by:
.J.J
N W Whil¢- Tn&ee
The fomi part of tlKse fIrw￿la1 ststeJn¢Thts

Welllxjrin
ts
for the Year Entsj 31 DeCem￿r 2024
ACCOUNllNG POLICIES
Ba515 of preparing the stAtements
The financial siaemettts of the rhan"ty. which is a public bcrrfit entity FRS 102. have prepa￿d in
accordance with the Charitie5 SORP (FRS 102) 'Ac¢rALnling aTKI Reporting by Charityes.. Statement of
Recommendd Prxiice applicable to charities prwn8 iheir &c￿nts in accordance wilh ihe Financial
Rq)ortinB Standard applicable in the UK and Rewblic of Irela￿1 (FRS 102) {effective l January 2019)..
Financial Rel￿]ng Slar￿ard 102 Tr Financial RqM)rting StatKlaTd applicable Kn the UK and Republic of
Ireland. and the Charities Act 2011. Th¢ fit)wKiai sw¢meTrts hav¢ been prepared urmkr (he hi51orical e05t
¢onvth¢ion.
Incojme
All income is r￿gniSed in the Statcmenl of Financial ALlivitiC5 orKe the chan.iy has entiilemcnt lo Ihe funds. il
l5 probable that the income will be received and the am￿*)1 can be mc&sured rcliably.
ExpeDditiwe
Liabililies are r￿O￿ls￿ ex￿diLUre there is a lega] tr coTtstr￿1wC obligation cornmitiittg the
¢lJarily to that exprndiiure. it is prrthble thai a trattsftt of C¢0T￿Mi¢ trfiis will ￿ ry￿tred in settlement and
the amount of the thliwdtion can be me&wed reliably. Ex￿￿111￿[¢ is accounted for on an ￿Cn￿lS basis aT¥J has
Fttn ¢lwifJ¢d under headings th* agglegate all COA rel￿ed ￿ the ¢*gory. Where ctys caThn￿ be directly
attribulal to pirticular I￿]ng5 W hav¢ been all(￿ed ￿ adivttiC5 basis consisient with the use of
resources.
T*x•llon
The charity is exempt frryn lax on its ¢han"lable xts.viii
Unre5tricled funds be used in wilh the charittble thjcctives at the d1scrttil￿ of tl* tnJAtt
Restricted funds can ￿]Y be ws¢d f¢x wi¢ular within the ￿JectS of the charity. Rcstrictions
aris¢ wlyn yifid by thedoThxor whe* fuThJs*e rnised forw11￿lar r¢51ri¢td W￿15¢5.
Fyrtlyr explan￿1￿ of the naturcand PUTW of exh fund is includcd in the n(rtes to the financial Ststh¢nt&
Hlre p￿r¢bIle k*sng ￿m￿lt￿ents
Rentals paid under OkKrn(ing leases #e c]wJ to ￿ Ststemeni of Fin8n¢ia] Adivities (m a strdight line b&sis
over the peTityJ of the I￿.
INVESTMENT INCOMK
Period
-4.23
io
31.12.23
Year Emthd
31.12.24
Deposit a¢¢(wDt it)terest
374
Pagc6
continued...

Wellbon"n
c&to the FirwKial Ststcment .
TRusfEES' REMUNERATION AND BENEF￿s
There were remunuaiion (r ￿h¢[ bencfits r(Y the year endoj 31 DrKemirr 2024 TW for the perifyl
ended 31 December 2023.
Trn$tres' exptMes
There were trttsted exp&￿ p&d fot the year 31 December 2024 nor for the pyricd end
31 December 2023.
COMPARATIVES FOR THE sfATEMENf OF FINANCIAL AclIV￿lEs
Unrestricted
furwj
Rethicted
futhj
Total
funds
INCOME AND Erl￿WMENfS FROM
D(Thtions and legacies
41.712
232J46
274,058
EXPENDITURE ON
Charilable %ctiwitie5
Waw well ihxing
38298
178,042
216,340
Other
623
623
38.921
178.042
216.963
ET INCOME
2.791
57,095
RECOIYCILIATION OF FVNIK5
Total funds brought forward
122(
12,&)6
24.812
TOTAL FUNDS CARIUED FORWARD
14,997
66.910
81,907
DEBTORS: AMouNfs FALLING DUE wfiHIN ONE YEAR
31.12.24
31.12.23
(Xhcr dcbtots
9,297
2,961
Page 7
conlinuoj...

for ihe Y
24
CREDITORS: AMOUNTS FALLING DU£ wmiiN ONE YEAR
31.12.24
31.12.23
Trale cr*Jiiors
(Mher creditors
4,240
30,023
119.154
119,154
34,863
MOVEMENT IN FUNDS
movement
in fimds
At 1.1.24
31.12 24
Uthrestrirted
14,997
(5,687)
9.310
Restricted
Resiri¢ited Funds
66.910
(50.750)
16.160
TOTAL FUNDS
81.9)7
(56.437)
25.470
Net M0￿MeTrt in funds. ]r￿luded in the at*)veare as follows:
In¢cAning
Movement
in fvnds
U￿restrIcted
Gfflerdl furKI
51724
(58,411)
(5,687)
Restrit¢ed fvnd8
R¢*ricited Fund5
124.797
(175.547)
{50.750)
TOTAL FUNDS
177,521
(233,958)
{56.437)
CompAr•dvfs for llwvernellt th fiMM15
Nd
movement
in funds
At
31.12.23
At 1.4.23
Unrestrltted fllttds
General fund
1221
2.791
14.997
Rwtricted fvnds
Rc4ri¢ited Funds
12,606
54.304
66.910
TOTAL FUNDS
24.812
57.095
81,907
continued...

WelllKxin
NIAts io the Fir￿nCid1 Statements- continued
forthe Year E4Klrd 31 DecembeT 2024
MOVEMENT IN FUNDS. tonlinmtd
Comparntive nei movemcnt in fvnd% inclu(kd in the alx)ve are &s follows."
It)c(rning
Movement
in funds
eX￿(￿d
Unrestricted fiuMIs
General fuThJ
41.712
(38,921)
2,791
Re￿nCiled Funds
23U46
(178.042)
54,304
TOTAL FUNDS
274,058
(21A9631
57.095
RELATED PAiYfY DISCIAISURES
There were no rdatrd party IiaThsxtic￿s forthe year eThJed 31 tkcemL*r 2024.

Wellimjrin
24
Peri(xl
1.4.23
io
31.12.23
Year EThtcd
31.12.24
INCOME AND ENDOWMEKfS
Do￿atIonS *Ad kgxles
Donations
177.147
274,058
IDvestment In£•me
DeFrf)5it account inlcr&st
374
Total iDcomiug rex•u￿
177521
274.058
EXPENDITURE
Charlt8ble *trfvltt
Drilling xliwti
Sundries
205,167
28.458
211,933
4,407
233.625
216.340
Sthpport tosts
ountancy aT￿ leg￿ fccs
333
623
Total resour¢es exEthkd
233,958
216,963
Net {¢xpendltur¢)AA¢4)me
(56.437)
57,(P35
This pwd(ts f(m part of thc ststut(xy financial *atements
Page 10