REGISTERED CHARITY NUMBER: 1142295
of the TTUStees and
naudiied Financial Statemertts
for ihe Y¢ar Ended
31 December 2025
for
Well
Greenwood Williams Lirnited
1st FI[￿r, The Sytll5 Building
Bumpers Way, Bumpers Fann
ChKppenham
Wiltshire
SN146LH

Wellborin
Contents of the Financial Staiemenrs
for the Year Ended-
l December 2025
Page
Report of th¢ Trusie¢s
It)dependent EXaMine￿S Report
Statement of Financial Activitie5
Balance Sheet
Note5 to the Financial Staiements
De¢ailed Staiemeni of Financial Activities
10

Wellbori
ort of the fTUStees
for the Year Ended 31 December 2025
The iNsiee5 present their report with the financial sthtements ofthe charity for the year ended 31 December 2025. The
trustees have adopted the provisions of Accouniing and ReportÉng by Charities= Sthiement of Recommended Practice
applirable to charities preparing their a¢counts in accordance with the Financial Rewrting StaTJdard applicable in the
UK and Republic of Ireland (FRS 102) (effeclive l January 20191.
OBJECTIVES AND ACTIVITIES
WellBoring was regist¢red as a UK Charity in 2011. Its PUTpose is to improve health, education and community welfare
by providing sustainable safe water solutions, maintenance. hygiene training and water education, working in partnership
with ¢ommuniiies. mostly centr¢d on s¢hools. in $ulFSahaT8n Afri¢a.
In addition to the UK afflivities. WellBoring has a significanily grea￿ presence through fijnds and projects carried out
in its name and on its behalf directly in African Countries, and with its inpui.
The WellBoring family 15 made up of five organisaiions= the UK Charity, a Charitable foundation in the US Called The
WellBoring Foundation. a Charitable Foundatioii in Gerniany called WellBoring Gerniany, a Charitable Foundation in
The Gambia called WellBoring West Africa and an impl¢m¢ntation arm based in Kenya called Wellboring
Groundwater.
The ac¢ounis show income received by th¢ UK of £278k. This repres¢rtt¢d 50Y• of the overnll fimds brought in by the
WellBoring family of £552L with the balance funded in Kenya 460h and the Gambia 4%.
The in¢lusion of income carried fonvard for ih¢ prior year would in¢rwe the prior year UK local to £250k and rhe
WellBoring family toial 10 £385k. These are the figures to be used for u)mpar4tive purposes.
li should be emphasised thai ihe WellBoring charity. re8isiered in the UK. has oversight r)f all of this work working
closely with WellBoriDg Groundwaier, Ihe Community Based NGO regÉ$t¢red in Keny
Since ihe forniation of WellBoring in 2011. Ihese entities have now completed over 530 wells. improving the lives of
aTound 600,000 people through the provision of safe water.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Guverning document
The charity is conirolled by its governing document. a deed of trusi and consiituies an unincorporaied charity.
REFERENCE AND ADMIIYISTIL4TIVE DETAILS
Registered Charlty number
1142295
Prln¢ip#l #ddresi
51 sl.mary Stteei
Chippenham
Wiltshire
SN15 3JW
Trustees
P Johnson
R K Kongo
K Sonko
N W White
Independent Examlner
Tanya Williams
Greenwood Williams Limited
1st Flooi, The Syms Building
Bumpers Way, Bumper5 Fami
Chippenham
Wiltshire
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Page I

Wellborin
rt of the Trustees
for the Year Ended ) l December 2025
Approved by order of the board of trustees on ..
JLkl.5.lao.2L
- and signed on its behalf by..
fJ.Ly.JI
N W While- Ttustee
Page 2

Inile
deni Examinerfs Re
Wellborin
rt to the Tn￿le¢S of
Independent examiner'5 report to the trustees of Wellboring
repon to rhe charity in￿(ee$ on my examination of the accounts of Wellboring {the Trust) for the year ended
31 December 2025.
Responsibilities and basis of report
As the charity irustees of the Tntsi you are responsible for the preparation of the accounts in ac¢ordanc¢ with the
require¥nents of the Charities Act 2011 Cthe Acl).
I report in respect of my examination of the Trust's accounts rarried out under Section 145 of th¢ Act and in carrying out
my examinaiion I have followed all applicable Directions given by the Charity Commission under Seaion 145{5)(b) of
the A¢t.
Independerht examSner's st*ternent
Since your charity's gr055 income exceeded £250.(rf)O your examiner mum be a member of a listed body. l ¢on confirm
Ihai l am qualified io undertake ihe ex#mination b¢¢*u5e I m) a member of th¢ As50ci8tion of Chartered Certified
Aeeountants, whieh is one of the listed biKiie5.
I have completed my examination. I confim Ihai no material matters hav¢ ¢ome to my attention tn ¢onD¢¢tion with the
examination giving me cause to believe that in any material Tespeci..
accounting Tecords were noi kept in respect of the Trust &% required by Section 130 of the A¢t,' or
the accounts do not accord with those record5: or
th¢ J¢CQL2nts do not comply wilh the applicable requirements concerning the forn) and conteni of accounts set oul
in the Charitie5 (Accounts and Reports) Regulaiions 2008 0(her (han any requirement that th¢ a¢counts give a
true and fair view which is not a matter considered as part of ar] independent examination.
I have no concerns and have come acros5 no other matters in conneciion with the examinaiion to which attention should
be drawn in this report in order io enable a proper und¢rsiondin% of th¢ ac¢ounts ¢0 b¢ r¢a¢hed.
Tanya William5
Greenwood Williams Limited
I s¢ Floor, The Syms Building
Bumpers Way. Bumpers Fami
Chippenham
Wiltshire
SN146LH
Date..
i..a.1s...kaoa.L...
Page 3

Wellknrin
Swemeni of Financial Activities
for the Year Ended i l December 2025
31.12.25
Total
fiu)ds
31.12.24
Total
nds
Unresiricted
fund
Restricted
fund
Notes
INCOME AND ENDOWMENTS FROM
DonatTOnS and legacies
117.1)09
160,380
277.389
177,147
Investment income
350
350
374
Tot¥41
117,359
160,380
277.739
177,521
EXPENDITURE ON
Charitsblt actLVltie5
Water well boring
75,806
173,992
249,798
233,958
NET INCOMEI(EXPENDITURE)
41,553
(13,612)
27,941
(56,437)
RECONCILIATION OF FUNDS
To(al funds broughi forward
9.310
16.160
25,470
81,907
TOTAL FUNDS CARRIED FORWARD
50.863
2.548
53.411
25,470
The notes forn) part of these financial statements
Page 4

Wellborin
Balance Sheet
31 December 2025
31.12.25
Totsl
funds
31.12.24
Toial
funds
Unrestricted
fund
Restricted
fund
Notes
CURRENT ASSETS
Debto
Cash at bank
15,329
73,361
37.330
2,548
52,659
75,909
9,297
135,327
88.690
i9.878
128,568
144,624
CREDITORS
Amounts falling due within on¢ year
(37,827)
137,330)
(75,157)
{119,154)
NET CURRENT ASSETS
50,863
2,548
53,411
25,470
TOTAL ASSETS LESS CURRENT
LIABILITIES
50.863
2.548
53.411
25.470
NET ASSETS
50.863
2.548
53.41
25.470
Unresiricted fijnds
Restricted funds
50,863
2,548
9,310
16,160
TOTAL FUNDS
53,411
25,470
The financial staiemenis were approved by the Board of Trnstees and authorised for issue
5 + i.as.i.%ai.kn..-... and wer¢ Signed on ils behalf by..
on
N W White - Tnjstee
The notes fonn part of these financial statements
P￿e5

Wellborin
Notes to the Financi31 S13tements
for the Year Ended 31 December 2025
ACCOUNTING POLICIES
Basis of preparing the financial statements
The financial statements of the charity, which is a public benefit entity under FRS 102, have be¢n prepared in
accordance with the Charitie5 SORP (FRS 102) 'Accounting and Reporting by Charities.. Sratemeni of
Recommended PTaciice applicable to charities preparing their accounts in accordance with ihe Financial
Reponing Standard applicable in th¢ UK and R¢publi¢ of Ireland IFRS 102) (¢ff¢¢live l January 2019),,
Financial Reporting Standard 102 The Financial Reponing S￿ndard applicable in the UK and Republic of
Ireland, and the Charities Act 2011. The financial staiemenrs have been prepared under ihe historical cost
convention.
Incon3e
All income is re¢ogni5ed in the Statement of Financial Activitie5 once the charity has ¢ntitl¢ment to the funds, it
is probable that the incorne will be received and the amount can be measured reliably.
Expenditurt
Liabilities pre Tecognised as expenditure as soon as there is a legal or constructive obligation committing the
harity to ¢hat expendiiure, it is probable thai a transfer of economic benefits will be required in settlement and
the amount of Ihe obligation can be measured reliably. Expendilure is actount¢d for on an a¢cruals basi5 and ha5
been cla55ifLed uThder headings that aggregaie all cost related to the category. Where cosis cannot be direcily
attribuied to particular headings they have bttn allocated ￿ aciiviiies on a basis consistent with the use of
resources.
Taxstion
The charity is exempi from lax on IL8 ¢hori¢obl¢ 8¢1ivities.
Fund accounting
Unrestric(ed fiinds con be used in a¢¢ordance with the charilable objective5 at the discretion of the tru51ee5.
Restricted funds can only be used for particular restricted putposes within the objects of ihe charity. Restri¢tions
arise when specified by the donor or when fund5 are raised for particular rcstrict¢d purp05e5.
Further explanation of the nature and purpose of each fvnd is included in the notes io the financial staiements.
Hire purchase and 1¢85ing cornrnitments
Rentals paid under operaiing leases are charged io the Sthiement of Financial Activities on a straight line basis
over the period of the lease.
INVESTMENT INCOME
31.12.25
31.12.24
Deposit account interest
350
374
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees. remunrrntion or other benefits for the ytdr ended 31 December 2025 nor for the year
ended 31 December 2024.
Trustee$, expeNse5
There were no In￿l￿s. expenses paid for the year ended 31 De¢ember 2025 nor for the yeaT ended
31 December 2024.
contÈnued...

Wellborin
Notes to the Financial Statetnents- continued
for the Year Ended i l Decefflber 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
fi￿d
Restricted
fi￿d
Total
funds
INCOME AND ENDOWMENTS FROM
Donations and legacie5
52.350
124.797
177,147
Investmenl income
374
374
Tot*1
52.724
124,797
177.521
EXPEIYDITURE ON
Charitable activities
Water well boring
58,411
175.547
233.958
NET INCOMEI{EXPENDITURE)
{5,687}
{50.750)
(56.437)
RECONCILIA TION OF FUNDS
Total funds broughi forward
14,997
66,910
81,907
TOTAL FUNDS CARRIED FORWARD
9,310
16.160
25,470
DEBTORS: AMOUIYTS FALLING DUE WITHIN ONE YEAR
31.12.25
31.12.24
Other debtors
52,659
9,297
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
31.12.25
31.12.24
Other creditors
75,157
119,154
MOVEMENT IN FUNDS
Net
movement
in fvnds
At
31.12.25
At 1.1.25
Umrestricted funds
General fund
9.310
41,553
50.863
Restricted funds
Re5tricited Funds
16,160
(13,612)
2,548
TOTAL FUNDS
25,470
27,941
53,411
Page 7
continued...

Wellborin
Notes to the Financial Statements- continued
for the Year Ended J I Ikcernber 2025
MOVEMENT IN FUNDS- eontlnued
Net movement in funds, included in the above aTe as follows..
Incotning
resou￿e$
Resources
expended
Movement
in fvnds
Unrestrlcied funds
GeT)eral fvnd
117,359
(75,806)
41,353
Re5trieted fund$
Restricited Funds
160.380
(173.992)
(13.612)
TOTAL FUNDS
277,739
{249.798}
27.941
Comparatlve$ for mov¢meni fund$
Net
movement
in fvnds
At
31.12.24
Ai 1.1.24
Unrestrleied fund$
General fund
14.997
(5,687)
9,310
R¢$lrl¢l¢d fund5
Restricited Fund5
66.910
(50,750)
16,160
TOTAL FUNDS
81,907
(56.437)
25,470
Comparative net movement in ￿nds. included in the &bove are as follows..
Incoming
R¢50urce$
expended
Movement
in funds
Unrestrlcted funds
General fund
52.724
(58.411)
(5.687)
Restricted funds
Restricited Funds
124,797
(175,547)
150,750)
TOTAL FUNDS
177,521
(233,958)
156,437)
Page 8
continued..

Wellbori
Notes (o the Financial Ststements- continued
for the Year Ended i l December 2025
MOVEMEf4T IN FUNDS- CODtinued
A Current y¢ar 12 months and prior year 12 months combined position is as follow5-
Net
ov¢m¢nt
in fund5
At
31.12.25
Ai 1.1.24
Unrestricttd funds
Generdl fund
14.997
35.866
50.863
Restricted fund5
Restricited Funds
66.910
(64.362)
2,548
TOTAL FUNDS
81.907
(28.496)
53.41
A CUTrent year 12 months and prior year 12 months combined net movemeni in funds. included in the above are
as follows-.
Incoming
resources
Resources
expended
Movement
in funds
Unrestrieted funds
General fund
170,083
(134.217)
35,866
Restrleted funds
Restrieiled Funds
285,177
(349,539)
164,362)
TOTAL FUNDS
455,260
(483,756)
128,496)
RELATED PARTY DISCLOSURES
There were no relaied party transa¢iions for the year ended 31 tk¢ember 2025.
Page 9

Wellborin
Deiailed Statement of Financial Activities
for ihe Year Ended 31 December 2025
31.12.25
31.12.24
INCOME AND ENDOWMENTS
Donatlons and legaeles
Donations
277.389
177.147
lllvestment Intome
Deposit account intere$t
350
374
Total incornirtg resoure
277,739
177.521
EXPENDITURE
Charitable actlvltles
Drilling aciivilie5
Sundries
217,775
31,655
205.167
28,458
249.430
233,625
Sllpport costs
Govtrnanee costs
Ac¢ountancy and legal fees
368
333
Total resources expended
249,798
233,958
Net incomel(expendilure)
27,941
(56,437)
This page does not fonn part of the slatutory financial 51at¢m¢nts
Page 10