Trustees, Annual Report for the period
Period start date
01
,.J8
Perioj end date
31
DeG
From
Section A
Reference and administration details
Charfty name
Global Educational Trust
Othor names charity is known by
Reglsterod chaiity number (il any)
1144969 1 SC046627
Charltys prlnclpal address
2 Fox Lane
Wakefield
West Yofkshi
Postcodo
WF1
Names of tha charity trusteès who manage tho ¢harlty
Dat•s act￿ rf not for TA+￿1&
ear
Trustoo namg
Office {if any)
Nam• of p•rson lor body) entltled
int trust
ifan
Junaid Rahim
Z Ikhlaq
10
12
13
14
15
16
17
18
19
20
Names of thè trusteas for tho charlty, If any, {for example. any custodlan trusteos)
Namo
Datss acted if not for whole
ear
TAR
Marth 2012

Names and addresses of advlsers (Optlonal Infomiation)
of advisor
Name
Address
Property
ASTOP Ltd
49 Prebend Gardens. London. W6 OXT
Accountancy
Banklng
Mark Mason
37 Euroway House. Roydsdale Way, Bradford. BD4 6SE
66 Westgate. Wakefield
HSBC
Name of chlef exècutive or names of Senlor staff members (Optional inforniatlon)
Section B
Structure,
overnance and mana
ement
Descrlptlon of the charlty's trusts
The goveming document of the Global Educational Trust is a Trust Deed
Type of governlng document
How the Charity is constituted
The Global Educalional Trust is constituted by Trust
Trustee selection methods
Trustees are Appointed
Additional governance Issues (Optlonal Infomiatlon)
You may choose to include
additional information. where
relevant, about:
policies and procedures
adopted for the induction and
training of trustees.,
the charitls organisational
structure and any wider
network with which Ihe chartty
works;
• relationship with any related
parties.,
trustees, consideration of
malor risks and the system
and procedures to manage
them.
Section C
Ob"ectives and activities
Charity Objects:
1. THE ADVANCEMENT OF EDUCATION FOR THE BENEFIT OF THE
PUBLIC IN THE UK IN PARTICULAR BUT NOT EXCLUSIVELY BY..
Summary of the objects of the
charity sel out in its
governing document
AI PROVIDING OR ASSISTING IN THE PROVISION OF ITEMS OR
SERVICES WHICH WILL IMPROVE STANDARDS OF LITERACY AND
READING
BI PROVIDING SCHOLARSHIPS OR BURSARIES TO PEOPLE TO ENABLE
THEM TO AThEND COLLEGE OR UNIVERSITY
THE PROVISION OF LEARNING MATERIALS AND EDUCATIONAL
TAR
March 2012

RESOURCES.
DI TrIE PRoinsioN OF READING MATERIALS AND LITERATURE TO
PROklOTE READING AND LITERACY.
2. THE ADVANCEMENT OF EDUCATION OVERSEAS IN PARTICULAR BUT
NOT EXCLUSIVELY BY..
AI PROVIDING ORASSISTING IN THE PROVISION OF LEARNING
RESOURCES AND TEACHING SUPPORT FOR ADULTS AND CHILDREN
BI PROVIDING SCHOLARSHIPS OR BURSARIES TO PEOPLE TO ENABLE
THEM TO AThEND SCH(X)L, COLLEGE OR UNIVERSITY
Charity Actmtles:
IN SEThING OUR 08JECTIVES AND PLANNING OUR ACTIVITIES THE TRUSTEES
HAVE GIVEN CAREFUL CONSIDERATION TO THE CHARITY COMMISSION'S
GLIIDANCE ON PUBLIC BENEFIT AND IN PARTICULAR TO ITS SUPPLEMENTARY
PUBLIC BENEFIT GUIDANCE ON ADVANCING EDUCATICW.
OUR AcmvmES:
THE COLLECTION, SORTING, STORAGE AND RE-DISTRIBUTION OF READING AND
EDUCATIONAL MATERIAL FOR THE ADVANCEMENT OF EDUCATION AND
LITERACY IN LOCAL COMMUNITIES IN THE UK.
Summary ofth8 main
activities undertaken for Ihe
public benefit in relation to
Ihose objects (include wlthln
Ihis section the statutory
declarallon that trustees havo
had regard to the guldan¢e
Issued by the Charity
Commlsslon on publlc
benefft)
OPERATING'GET FREE BOOKS. SHOPS ACROSS THE UK WHERE MEMBERS OF
THE PUBLIC CAN TAKE A SELECTION OF BOOKS COMPLETELY FREE OF
CHARGE.
DELIVERING BOOKS AND READING MATERIALS TO THOSE MEMBERS OF
SOCIETY WHO FIND TRAVELLING TO OUR FREE BOOKS SHOPS CHALLENGING.
SUPPLYING BOOKS AND READING ￿TERIAls TO SCHOOLS ACROSS THE UK.
ENCOURAGING A LOVE OF READING BY MAKING BOOKS AND READING
MATERIALS AVAILABLE TO CHILDREN FREE OF CHARGE.
PROViSION OF FINANCIAL SUPPORT TO EDUCATION BASED CHARITABLE
ACTIVITIES
PROVSSION OF LIBRARY FACILITIES IN THE PHILLIPINES AND AFGHANISTAN
AFTER THE DIFFICULTIES EXPERIENCEDACROSSTHE UK DURING THE
PREVIOUS CHALLENGING PERIOD, GET IS PROUD TO CONFIRM THAT IT DID
AGAIN ACCOMPLISH ITS GOAL OF DISTRSBUTING OVER 1 MILLION FREE BOOKS
TO COMNdVNITIEg IN THE UK AND ABROAD.
Addltlonal detalls of objectlves and actlvltles (Optlonal Infonnatlonl
TAR
March 2012

You may choose to indude
further statements, where
relevant, about:
policy on granlmaking-
policy programme related
investsment.,
contribution made by
volunteers.
Section D
Achievements and performance
TAR
March 2012

Section D
Achievements and performance
Summary of tha main
achlevemants of the charlty
durlng the year
IN SUMMARY THE CHARITY TRUSTEES ARE PLEASED TO REPORT
THE FOLLOWING ACTIVITIES:
SOURCED, IMPLIMENTED AND MAINTAINED PREMISES
ACROSS THE UK FROM WHICH IT WAS ABLE TO COMPLETE
ITS CHARITABLE ACTIVITIES
PROVIDED FREE BOOKS INTO COMMUNITIES VIA OUR'GET
FREE BOOKS. SHOPS WHERE BOOKS ARE GIVEN AWAY
FREE OF CHARGE TO MEMBERS OF THE PUBLIC
WORKED WITH A DEDICATED NETWORK OF SUPPORTERS
AND VOLUNTEERS
PROVIDED DONATIONS OF BOOKS AND EDUCATIONAL
MATERIALS TO SCHOOLS ACROSS THE UK
DELIVERED BOOKS AND READING MATERIALS DIRECTLY
TO THOSE MEMBERS OF OUR COMMUNITIES WHO FIND IT
CHALLENGING TO ACCESS OUR FREE BOOKS SHOPS
COLLECTED, SORTED AND REDISTRIBUTED BOOKS AND
EDUCATIONAL MATERIAL INTO UK COMMUNITIES
WITH THE HELP OF KIND DONATIONS, GET WERE ABLE TO
UTILISE THEIR OWN PROPERTY IN CARMARTHEN AS A
"GET FREE BOOKS" SHOP SERVING THE LOCAL
COMMUNITY. THIS PROPERTY WAS PURCHASED WITH THE
INCREDIBLY KIND DONATIONS OF OUR WONDERFUL
VOLUNTEERS
PROVISION OF LIBRARY FACILITIES IN THE PHILLIPINES
AND AFGHANISTAN
GET ACCOMPLISHED ITS GOAL OF DISTRIBUTING OVER 1
MILLION FREE BOOKS TO COMMUN ITIES IN THE UK AND
ABROAD
FOR FURTHER INFORMATION ABOUT THE CHARITIES
ACTIVITIES, PLEASE SEE OUR WEBSITE AT
VVWW.GLOBALEDUCATIONALTR
TAR
March 2012

Section E
Financial review
ANY RESERVES WILL BE CARRIED FORWARD IN THE PURSUANCE
OF OUR CHARITABLE OBJECTIVES
Brief statement of the
charlty's policy on reserves
Dotalls of any funds materialty
In d￿1ClI
Further flnancial rovlew dotails (Optional Information)
You may choose to include
additional infomation. where
relevant about:
the charity's principal
sources of funds (including
any fundraising)-
how expenditure has
supported the key objectives
of the charity.
investment policy and
objectives including any
ethical investment policy
adopted.
Section F
Other optional information
Section G
Declaration
The trustees declare that they have approved the Irustees, report above.
Signed on behalf of tho charity's truf
Slgnature{s)
Full name{s)
JUINAID
Position (eg Secretary, Chalr.
TRUSTEE
Dale
31.03.23
TAR
Marth 2012

Office 37, EuD)w8yHous¢
Roydsda3e Way
Bradford
BD4 6SE
01924 284523
almaccount5@mail.com
ALMACCOUNTS
REGISTERED CHARITY NUMBER: 1144969
REPORT OF THE TRusfEES AND
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2022
FOR
GLOBAL EDUCATIOIIAL TRUST

GLOBAL EDUCATIONAL TRUST
coNTE￿r5 OF THE FINANCIAL STATEMEr
FOR YEAR ENDED 31 DECEMBER 2022
Pa8e
Report ofthe T￿￿teeS
Ito2
Report of the IndependentAceountsnts
3to6
statement of Flnandal ArtTrvities
Balan￿ Sheet
Notes to the Flnanclal Ststements
9t012
Detalled Statement of Finanaal Actlvldes
13

GLOBAL EDUCATIONAL TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2022
The Trustee5 present thelr report with the financlal ststernents of the ChaiFty for the year end￿ 31 December
2022. The Trustees have adopted the provislons of Accounting and Reportlng by Charltie5.' Statement of
Recommended Practice applicable to Charltles prèpartng their accounts In accordance with the Flnancial
Reportlng Standard appllcable in the UK and Republtc of Ireland IFRS 1021 leffectfve ljanuary 20191
STRUCTURE, GOVERNANCE AND ￿NAGEMENT
Governlng Document
The Chartty Is controlled by Its governlns document, a deed of trust and con5tltutes an unlncorpor3ted (*arfty.
REFERENCE AND ADMINISTRATIVE DETAILS
Re815tered Charfty Number 1144969
PRINapAL ADDRESS
2 Fox Lane Wakefield West York5hireWFI
TRUSTEES
Mrj Rahlm
Mr Z Ikhlaq
Mlss M Nagy
AccouMfANTS
ALM Accounts Ltd Office 37, Euroway House Roydsdale Way Bradford BD4 65E
ounts
om
+44 1924 284523
STATEMENT OF TRUSTEES RESPONSIBILITIES
TheTrustÈe5 are responsiblefor prèparingthe reportofthÈTrusteesand the Finandal Staternents in actordance
with applicable law and UK accountingstsndards Iunlted Kingdorn Generalty Accept￿ Accountln6 Pratticel.
The law applScable to ¢harltles In England and Wales, the Charttles Act 2011, tharlty IAccounts and Reports)
RegLtlations 2008 and provislons of thetrustdeed reqylres theTrustees to prepare financlal statements for each
financial year which glve a true and fair wew of the state of affalr5 of the chartty and of the incomin8 resources
and appllcation of resources, includlng the Tncome and expendlture of the charlty In that perfod. In preparing
those financlal statements the Tru5tee5 are requlred to..
5efert Suitable actouftting Policles and then applythern con5iStently.
Ob5etve the methods and pilnclpals In the ChaTlty SORP
Makejudgernent5 and estlmHtes that are reasonable and prudent.
Prepare the financtal statsments on the golngconcem ba51s unless It Is rnappropriate to presume that
the charltywlll continuè in business.
TheTrLTrStees are re5ponslble for keeplng proper accountlng records whlch dlsdose wlth reasonable accuraty at
any tlmÈ the flnancial posltlon of the charfty and to enable them to ensure that the financlal stètèments comply
with the Charitles Act 2011. the Charlty (Accountsand Rèports) Re￿latIOnS 2(X)8 and thÈ provlsions of thefrust
Deed. 7hey are also respgn5ible for safeguarding the assets of the charity and for taklng reasonable steps for
the prevention and detection of fraud and otheT Irwularltles.

GLOBAL EDUCATIOIIAL TRUST
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 DECEMBER 2022
Appr
ed
-order of the board of Trv5tees on 19 May 2023 and s18ned on Its behalf by..
hlm-Trustee

REPORT OF THE INDEPENDENT EXAMINERS (ACcoU￿rANTS)
TO THE TRUSTEES OF GLOBAL EDUCATIONAL TRUST
Opln
We have examlned the flnanu31 statèments of the Gltsbal Educ*ional Trust Ithe tharttyl forthe year ended 31
December 2022 which comprFse the Statement of finaneial actI￿tIes, the Balance SheeL and notes to the
financlal statements, Including a 5urnmary of %i8nlficant accountin8 policfes. The financral reportlng framework
that hè5 been applied in their preparation isapplicabjew￿h1n the18wand Unlted KlngdomAttwntÈngStsndards
Iunlted Klngdom Generdlly Aecepted Accounting Prartlcel.
In our oplnlon th• flnancEal ststèrnwrt
Give a true and fairvlewofthestateof the Chaws affalrs a5 at 31 December2022 and of Its incoming
resour￿ and applltatlon of resources forthe year then ended.
Have been property prepared in actordanre wfth UnltÈd Klngdom Generally Accepted AccountlnB
Practice
Have been prepared in acCOrdan￿WIth the Charltie5 Att 2011
Bas1$ foroplnlon
We concluded our examlnatlon in accordance wlth the Intematlon31 StaI￿ard on Audltln8 IUKI IISAS IUKII and
appllcable lèw. Our responslbilltles underthosÈ standards arefurther described in thè Independent Examlners
responsibllltles for the examlnatlon of the flnantial statemettts sectlon of our report. We are indepèndent of
the Charlty in actordance wlth the ethlcal requlrements that are relevant to our examlnation of the flnanclal
statements in the UK, Indudlngthe FRes EthFcal Standard and we have fulfilled all our ethlcal respon51biiitie5 in
accordance wlth these requlrements. We believe that the evtdence we have obtslned 15 suffitient and
approprlate to provlde a basis for our examiners, oplnion.
Conclusions relatlngto Goln8 Concern
In examining the ftnanclal statements, we have conduded that the Tru5tees' use of the GolnE Concern basls of
accountlng in the preparation of the finandal statèments is approprtaté.
Based on the work we have perforrned, we have not Identified any materlal Un￿rtaIntleS relating to events or
condltlonsthat, Indivlduallyoreollectivety. May castd0ubtonthecharl￿S abilttytocontlnuèas aG0ingCon￿M
for a pertod of at least 12 months from the date the financial statements were authorised for ￿$Ye.
Our responsibllitlès and the responsibFlities of trustee5 wlth respect to Going Con￿rn are descrtbed In the
retevantsec￿OnS of this report.
Emphask of n*tt4r
Durin8 the 2018 and 2019 years erKls the tharlty was subject to zn Investwion by the Charttles Commisslon
and a full £ornpliance theck carrled out. The Charltle5 Commtsslon provlded an actloft plan for the charjty to
Implement and the case was cjosed wlth a satlsfartory outcome on 19th November 2019.
In subsequent years the drents record keeplng has Improved and there Is only a Ilmitatlon of scope when
provldlng sufflclent evidence fgrour exarnlnatton. In rejatlon to cash expendi￿re recorded.
The client a150 ha5 a shop whtch Is run under the name of 'Camiarthen Free Books., whlch producÈ5 Its own
independentfy e*érnlned accounts. The infomiatlon tontslnÈd in these accounts has been illcluded In th3
tharltses accounts as è net Income less expendoture value ratherthan a full consolidation.
Chjr oplnlon Is not modified In respect of thls matter.
Other Inf4xrnatlon
The Trustees are responslble for the other Informatlon. The othèr InfomiatioTr comprfses the Informatlon
Included In the Annual ReporL other than the flnallcial statsrnents and our report on our Independent
examlnation thereon.

Ouropinlon onthefinandal statements does notcovertheother informatlon and excepttotheextent otherwise
expliclt￿Ststed In our reptsrt, we do not express any forni of assurano concluslon the¥eon.
In connertion wlth our Independent examlnation of the flnanclal statements, our respon5ibillty Is to read the
other informatiDn and in doill8 50, conslder whet￿r the other inforrnation Is mèterially k)consistent wlth the
flnancial statements, or our knowledge obtained in the examination or othen*A5e appears to be materialty
misstateLI. If we Identtfysuch materlal Inconsistenues or apparent materlal mls5tatements. we are requlred to
deterrnine wttether this gfves rlse to a materfal mls5tatement in the finanoal ststements themselve5. If, based
*)n the workwe have perfomied. we consldef there Is a material mi5Statementof thls otherinforrnation. we are
requlred to reportthat fact We havè nothirvx to report In thls iegard.

REPORT OF THE INDEPENDEKf EXAMINERS (ACCOUNTAKrsi ro ThE TRUSTEES OF
GLOBAL EDUCATIONAL TRUST
MatteYs¢)n whlth we arn re4ulred to r¢port by exception.
We have nothing to report In respect of the followlng matters Whe￿ the Charltle5 IAtcounts and Reports)
Regulatlons 2008 require5 US to report to you ￿. In oplnion..
The infomiation glven in the report of the Trusteès is Inconsistent In any materlal respect wlth the
flnantial statements.
Sufflclent accounting le￿rdS have not been kept
ThÈ ffnantial ststements are not In agreemer¢t wlth the accountlng records and returns.
We have not r*ived all the Infom)aUon and explanatlons we requiie for our examlnatlon afid report.
RespDnsJbllltl8s of Trust￿$
As explained rnore fvlly rn the statement of Tritttees Responsibllttle4 the Trustees are responslble for the
preparatlon of the financial statements which glve a true and talr vlew. and for such intsmal control as the
Trustees determlne Is flec￿sary to enable the preparation of flnanclal ststemertts that are free from material
mis5tstements, whether due to frdud or error.
In prÈparfng thé financlal ststements the Trustees are responslble for assesslngihe charitls ability to contSnue
as a Going Concern, dlsclosing as applicable, matters related to goln8 concem and using the going concern basls
of accountlng unless the Trustees è￿her Intend to Ilquidate the charity or cease operations, or have no reallstlc
altemative butto do $0.
Our responslbllFties forthe independent examlnation of the finandal statements
We have been appolnted a5 Independent examiners and tornply with secElon 145 of the Charfties Art 2011 and
rep¢)rt In accordance wlth the Act and relewant reÈu13tions made or having effect thereunder.
Our objectlves are to obtsin reasonable assurance about whetherthe financial statements as a whole are free
from material mlsst3ternent, whether due to fraud or error ond to Issue a report of the Independent Examiners
that includes our oplnion. Reasonable assurance is a hlgh level of a5suraneè. but is not a guarantee that our
examlnation, whilst condurted In accordance with ISA'S IUKI will alway5 detect a materfal rnis5tatement whe
exSsts.
The extent to whlch our prO￿dureS are capable of detecting irregular￿les, Indurfing fraud is detslled below..
Irregularities, includin8 fra4Jd are Instan￿9 of non-compllance wlth laws and regulatlon5. We have adopted
pro￿dureS in line with our responslblllties, outlined above, to detect rnaterlal misstatements In respect of
Irre8ulariri•g. IYbeiu4Y4n8 fr•ud. Wg our professlonol luolgement and malntsits pr(rfe551onal scepticism
throu8houtthe examlnation whllst also..
Evaluatlng and documentin8 5nherent risks
Undèistandlngthe effettiveness of intemal ¢ontToI systems
Evaluating the rtsks of m3n3gement override of controls
Revlewlng the financial statement disclosures and testin8 to supporfng docurnentstlon to assess
Complian￿ wlth applicable laws and regulatlons.
ses51ng and Identifylng areas suseeptibleto mlsststement during ourfraud dtscvsslons
Revlevring mlnutes of meetings of those persons charged with govemance.
Evaluatln8 the approprlateness of attounting pollcles
A fvrther dÈ5uipUon of our responsibllrf(ies for thls examlnatlon of the ftnanclal ststements ￿ located on the
flnaTrdal reporting councll's website at www.fr
0[&￿k. Thls descriptlon forms part of our report of the
independent examiners.

REPORT OF THE INDEPENDENT EXAMINERS (ACCOUNTANTS) TO ThE TRUSTEES OF
GLOBAL EDUCATIONAL TRUST
U*ofour report
This report is made solety to the Charlty's Trustees, as a body, in accordano wlth part 4 0* the Chatttle5
(Accoynts and Report51 Re8ulations 2008. Our inspertlon and examlnation work has beén undertakèn 50 that
we rnight state to the Trustees those matters we are requlred to state to them in an independent examiners
report and for no other purpose. To the fullest extent permitted by law. we do not a￿pt or assume
respon5trblllty tp anyone other than the Charlty and the Charlty Trn5tees as a body, for our ex8mlnation work,
for this reporL or for the oplnlon5 we have formed.
For and on behalf of Aim Accounts Ltd
Office 37. Euroway Housè
Roydsdale Way
Brddford
BD4 6SE
almacc
unts
+44 1924 284523
rnail.
Mark Mason

GLOBAL EDUCATIONAL TRUST
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 DECEMBER 202Z
Perlod
1.1.21
to
31.12.21
Total
funds
Year Ended
31.12.22
Total
fund5
Unrestrlcted
fund
Restricted
fund
Notes
INCOME AND ENDOWMENfs FROM
Donation5 and legacies
185,908
185,908
277,041
Othertradin8 atbvities
106.4QK)
106.4
142,5(M)
Totsl
292,308
292,308
419.541
EXPENDITURE ON
Raising funds
177,890
177,890
336,718
Charltable actlvltles
Donation5 made
125,346
125,346
101,443
Total
303.236
303,236
438.ISI
NEf INCOMEI(EXPENDifuRE)
110,9281
110,9281
118.6201
RECONCILIATION OF FUNDS
Total funds brought forward
102,424
247,5LXJ
349,924
368,544
TOTAL FUNDS CARRIED FORWARD
113.352
247,5LKJ
360,852
349,924

GLOBAL EDUCATIONAL TRusr
BALANCE SHEEr
31 DECEMBER 2022
2022
Total
fvnds
2021
Total
funds
Uttre5trÉctÈd
fund
Restricted
fund
Notes
FIXED ASSETS
Tan8lble assets
247.500
247,5tXJ
247,5
CURRENf ASSErs
Stod
Cash at bank
98,1XKJ
7.059
89,500
17,988
7,059
105,059
105.059
107,488
CREDITORS
Amounts falllnB due within oneyear
117921
12,7921
15,0641
NET CURRENf ASSErs
IOL267
102,267
102,424
TOTAL ASSETS LESS CURRENT
LIABILITIES
349.767
349,767
349,924
NET ASSETS
349,767
349,767
349,924
FUNDS
Unrestrfcted funds
Restricted funds
102,267
247,5(X)
102,424
247,500
TOTAL FUNDS
349.767
349.924
The financlal statementswerè approved bythe Board of Trustees and authortsed for Issueon 2 July 2023 and
were slgned on Its behalf by..
Mrj Rahlm-Trustee
Yhemote5f¢rpartofYwefinaKWstatements

GLOBAL EDUCATIONAL TRUST
NOTES TO THE FINANCIAL sfATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2022
l. ACcoU￿n￿G pouaES
Basls of preparlngthe flnandal stthments
The flnallcial statemeTrts of the Charity, whlch Is a public benefit entity under FRS 102. have been prepared In
accordance wlth the Chailtles SORP IFRS 1021 'Accounting and Reportln8 by charltjes: Statement of
Rec¢mmendÈd Practice applicable to charttles prepailng thelr accounts in accordance the Financial
Reportlng Standard appSicable the UK and Republic of Ireland IFRS 1021 leffectlve l January 20191,, Financial
Reportlng Standard 102 Yhe Flnanclal Reportlng Standard ap￿ICable In the UK and Republlcof Ireland, an¢J the
Charltles Act 2011. Thè fina￿la1 Statements have been prepared underthe historlcal cost conventlon.
Flnandal Roportlng Standard 102- reduced dfsclosurè exemptlons
The eharlty has tsken advantage of thefollowing disclosure exernptlons In preparfn8 theseffn3nc&al ststements,
as permitted by FRS 102 The Flnanclal Reporting Standards applitable in the UK and Republlc of Irelanrf.
The requirement of section 7 Ststement of Cash Flows
Income
l income Is recggnised In the statement of finandal affrdirs once the charlty has entitlement to the funds, It Is
probable that the income will be r￿1ved. and the amount can be measured relsabty.
Expendlture
Liabllltles are recognlsed a5 expenditure as soon as there is a legal or con5truct6ve obligation committlng the
arltyto that expendlture. it 15 probablethat a transfer of economlc benefits wlll be Tequlred in settlement and
thè amourt of the obllgatlon can be rneasured rellably. Expendlture Is accounted for on an accrual basi5 and
has been classlfied under headin85 that aggregate all costs related to the cateEtsry. Where costs cannot be
directly attributed to a particular headsn& they have been allo￿ted on a basls corkslstent wtth the use of
resources.
Grants offwed subjertto condltlonswhlth ha¥e not met at the yeaT end date are noted as a commTtment
but not acuued as expenditu￿.
TartV4blq Ilx•d
Tangible fixed assets relate to a freehold property. The Trus¢ees have chosen the revaluation model of
accoulltlng and wlll r￿lewthe valuatlon of the PFoperty every 5 yeaTS.
Stocks are valued at the lower of cost and net reallsable value, after Ma￿n6 due allowances lor obsolete and
sILX¥-movln8 Items.
Taxatlon
Thè charity ts exempt from tax on Its chafltable attlvltses.
Fund accountln
Unrestricted funds ran be used In accordoncewtth the charltrdble objectlves atthe dlsuetlon of thÈ Trustee5.
RestACted fvnds can onty be used for the particular restricted Purpose wlthin the objects of the charity.
Re5trlctSons alise when spethfled by the donoT or when funds are ra15ed for a particular restricted purpose.
Furtherexplanatlgn of the nature and purpose of eath fund is Induded In the Aotesto thefinanclal statements.
CoTrttntsgd..

GLOBAL EDUCATIONAL TRusr
NOTE5 TO ThE FINANCIAL STATEMEKf5- contlnued
FOR THE YEAR ENDED 31 DECEMBER 2022
OTHER TRADING AcnvrriES
Period
1.1.21
to
Year
Ended
31.12.22
31.12.21
Shop income
106AOO 142.500
RAISING FUNDS
Investment managernent costs
Perfod
1.1.21
To
Year
Ended
31.12.22
31.12.21
Administrative expense5
Property repai
2,178
11,188
3,057
30,724
13A66
33,781
TRusfEE5' REMUNERATION AND BENEFITS
There werè no trustees, rem*Jneratlon or other benefltsfor thé year ended 31 December 2022 nor for
the perlod ended 31 December 2021
Trnstees exptn5e5
Th4r• ww• tru¥teW •>p•nw Pai4a for th• y•ar r•ndqd 31 D•c•Mb•f 2022 nor for the period
ended 31 De￿rnbel 2021
5. COMPARATIVE5 FOR THE sfATEMENT OF FINANCIAL ACTivrriES
Unrestrlcted Restritted Total ftinds
fund
fund
INCOME AND ENI)OWMENTS FROM
Donatlons and legaC￿S
261641
I4.4￿)
277,041
Other trading actlvitles
142.5¢)0
142,5(hJ
Total
405.￿1
419.541
coi)t4nued....
io

COMPARATIVES FOR THE sfATEMENT OF FINANaAL AcfiviTIES • contlnued
Unrestrlcted Restrlcted Totsl fund5
fvnd
fvnd
EXPENDrruRE ON
RHisinB fund5
336,718
336,718
Charft3ble actlTAtle5
Donatlons made
101,443
101.443
Yotsl
438,161
438.161
NET INCOMEIIEXPENI)ITUREI
118.6201
{18,6201
Transf*s botwe•n funds
Net movement In fund5
IU.6201
(ts,6201
RECONCIUATI(XI OF FUNDS
Totalfunds brought fonvard
1,044
247,500
368.544
TOTAL FUNDS CARRIED FORWARD
IOU24
247,500
349,924
6. TANGIBL£ FIXED ASSETS
Freehold
property
cosr
At ljanuary 2022 and 31 December 2022
247.5C¥J
NET BOOK VALUE
At 31 December 2022
247
At 310tt4mb•r 2021
IrKludEdlnw5toFyaknatknutkndand bJMdlnytslr*Wd￿ndQF£I47jx),WffikhL4nOtd￿pr9j￿ted.
7. sfocKS
2022
2021
Stocks
89.500
8. CREDITORS: AMOUNTS FAWNG DUE WIThIN ONE YEAR
2022
2021
Taxatlon and Sodal Securlty
other uedltors
1542
1250
2792
1,464
3.600
li

9. MOVEMENT IN FUNDS
Net
movement
in funds
At
31.12.22
At Ll.22
Unreslrkted fvnds
General fiind
102.424
11571
102,267
Restrkted funds
Restricted fvnd
247,500
247,500
TOTAL FUNDS
349,924 11571
349,767
Net movement in funds, Included In the above are as follows:
Incomlng Resources Movement
ourcÈ5 expended
In funds
Unrestrlrted funds
General fund
292.308
1303.2361 110,9281
TOTAL FUNDS
292AOB
13032361 110,9281
Comparauves for movement in fund5
Net
movement
In funds
TraRsfws
between
funds
At 1.1.22
At 1.1.21
Unr•5trlded fvnds
General fvnd
121,044
118,6201
102,424
RestrlrtÈd *unds
Restricted fund
247,500
247,500
TOTAL FUNDS
368.544 Its.6￿}
349,924
Cornparativo not movament In fu4ds. induded In the Èbove Jre as follow5".
Incomlne Resources Movement
resources expended
In fund5
Ilnrestrftted funds
General fund
405,141
1423.7611 118.6201
Re5trlrted lunds
Restrirted fund
14,4
114,4001
TOTALFUNDS
419W 1438,1611 118,6201
10. RELATED PARTY DISCLOSURES
There were no related party transactions for the year ended 31 Detember 2022
12

GLOBAL EDUCATIONAL TRusr
DETAILED STATEMENT OF FINANaAL ACTivrriES
FOR THE YEAR ENDED 31 DECEMBER 2022
PeriTr
1.1.21
To
31.12.21
Year
Ended
31.12.22
INCOME AND ENtK)WMEiirs
Dtsnatl￿ artd legades
Glfts
Donations
84,955
IIXJ,953
91.767
185,274
277.041
Othertradlng actlvltles
Shop income
106,4OJ
142.SC¥)
Total incomln8 resources
292,308
419,541
EXPENDITURE
Ralsln8 donatlons and leeacles
Wage5
Rates and water
Insurance and bank chary5
Sundrles
84.955
7,603
3,136
10.086
105,780
91,767
88,582
3,335
4,250
187,934
Othertrndlng artlvltle5
Purchases
IC(J,2C4)
I15,(￿3
Investment Man￿ernent costs
Administrative expenses
Property repalrs
2,178
11,188
13,366
3.057
30,724
33.781
Charitable activities
Grants to insti￿tionS
18,046
15,172
Support ￿$t5
Management
Wages
4,950
40,ICO
Governance costs
Auditors, remuneration
Accountbn¢y
Legal and professlonal fee5
1250
59,644
60,894
850
41,721
46,171
Totsl resources expended
Net lexpenditurn)lincom•
303,236
110.9281
438.161
{18,620}
This page does notfom) part ofthe statutoryflnanclal statements
13

## **Independent examiner's report on the accounts** 

## **Section A                        Independent Examiner’s Report** 

**Report to the trustees/** GLOBAL EDUCATIONAL TRUST **members of** 31[ST] DECEMBER 2022 **Charity** 1144969 **On accounts for the no (if** SC046627 **year ended any) Set out on pages** 1 and 2 

**Respective** The charity's trustees are responsible for the preparation of the **responsibilities of** accounts. The charity’s trustees consider that an audit is not required **trustees and examiner** for this year under section 144 of the Charities Act 2011 (the Charities Act) and that an independent examination is needed. It is my responsibility to: 

- examine the accounts under section 145 of the Charities Act, 

- to follow the procedures laid down in the general Directions given by the Charity Commission (under section 145(5)(b) of the Charities Act, and 

- to state whether particular matters have come to my attention. 

**Basis of independent** My examination was carried out in accordance with general **examiner’s statement** Directions given by the Charity Commission.  An examination includes a review of the accounting records kept by the charity and a comparison of the accounts presented with those records.  It also includes consideration of any unusual items or disclosures in the accounts, and seeking explanations from the trustees concerning any such matters.  The procedures undertaken do not provide all the evidence that would be required in an audit, and consequently no opinion is given as to whether the accounts present a ‘true and fair’ view and the report is limited to those matters set out in the statement below. 

## **Independent** In connection with my examination, no matter has come to my **examiner's** attention (other than that disclosed below *) **statement** 1. which gives me reasonable cause to believe that in, any material 

1. which gives me reasonable cause to believe that in, any material respect, the requirements: 

   - to keep accounting records in accordance with section 130 of the Charities Act; and 

   - to prepare accounts which accord with the accounting records and comply with the accounting requirements of the Charities Act 

have not been met; or 

2. to which, in my opinion, attention should be drawn in order to enable a proper understanding of the accounts to be reached. 

- _Please delete the words in the brackets if they do not apply._ 

**Signed: Name:** Mark Mason 

**Date:** 02/JUN/2023 

1 

**March 2012** 

**IER** 



**Relevant professional** AAT **qualification(s) or body (if any):** 

**Address:** ALM Accounts, Office 37, Euroway House, Roydsdale way, 

Bradford, BD4 6SE 

## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight material problems. 

**Give here brief details of any items that the examiner wishes to disclose** . 

2 

**March 2012** 

**IER** 

