GANDYS FOUNDATION
la c<xnpany Ilmlted by guarantee)
TRUSTEES. REPORT AND UNAUDITED FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MAY 2021
Charty No. 1152918
Company No. 08516239
*AAYHIIIK*
2410212022
COMPANIES HOUSE

Gandys Foundation
Year Ended 31 May 2021
CONTENTS
LEGAL AND ADMINISTRATtVE INFORMATION
TRUSTEES. REPORT
INDEPENDENT EXAMINERS. REPORT TO THE TRUSTEES
STATEMENT OF FINANCIAL ACTIVITIES
BALANCE SHEET
ACCOUNTING POLICIES
10
NOTES TO THE FINANCIAL STATEMENTS
12

Gandys Foundatlon
Year Ended 31 May 2021
LEGAL AND ADMINISTRATIVE INFORMATION
GOVERNANCE
The organisation is a charitable company lThited by guarantee. incorporated in England
on 3 May 2013 and registered as a charity on 17 Juty 2013.
The company was established under a Mernorandum of Associati￿.
The serving trustees elect the trustees.
TRUSTEES
Paul Forkan
Robert Forkan
Preet Legha
PRINCIPALIREGISTERED OFFICE
Unit 1 Saxon Business Centre
Windsor Avenue
England
SW19 2RR
BANKERS
Barclays Bank PLC
1 Churchill Place
London
E14 5HP
ACCOUNTANTS
A Wood and Co LLP
Chartered Accountants
18-20 Moorland Road
Burslem
Stoke on Trent
ST6 1DW

Gandys Foundation
Year Ended 31 May 2021
LEGAL AND ADMINISTRATIVE INFORMATION
POw￿Rs OF INVESTMENT
The trustees are authorised by the Memorandum of Assooation to deposit or invest
funds. employ a professional fvnd manager and arrange for the Inve*Me￿ or Ottr￿r
propety of the Charrty to be held in the name of a nominee.
LIABILITY OF MEMBERS
The liabilty of the members as set in the MemorarKlum of Association of the
company is as follows..
°Each member of th8 Charity undertates that. rflhe Charty As wouThY up while he is a
member. or ￿thin one year 8fter he ￿SeS to be a membw. he Mll continue a sum not
exceeding £1 to the assets of Ihe Charity for.-
payment of the debts and l￿bIlitIeS of Ihe Charity contra(*ed before he ¢eas8s
a5 member
payment of the Cc￿ts, charges and expenses of ￿ndIng up,. and
8djuslment ofthe lights of the C¥￿tn"but1ons anKJunt themselves..

Gandys Foundation
Year Ended 31 May 2021
TRUSTEES. REPORT
The trustees, who act as dIreCt￿S for the purpo%% of company law. present their
report along wrth the financial statements of the trust for the year ended
31 May 2021.
OBJECTIVES AND ACTIVITIES
The obj'ects of the Charity are for the public b￿￿fil".
1. to provide relief to those in need by reason of youth. age, ilWatth. disabilty,
financial hardship or other disadvantage by providing or procuring the provision of
services. education. training. cOnsU￿anty. advi￿. support. Counselling. guidance,
grants, scholarships, awards or materials in kw)d to indr¥iduab or other
or9anisations with a charitable pUrp￿e..
2. to further such other exdusNety charitable purpw according to the law of
England and Wales as the Trustees in their absolute discretion from time to time
detemine.
FINANCIAL REVIEW
The statement of financial activiknes is on page 7. Total incoming resources for the year
amounted to £91.526 (2020: £53,620). There was a net profftl(deficii) of incoming over
outgoing resources of £29,261 (2020.. £21.168) whith has been transferred out of
unrestricted and restrict•J funds as apwowiate.
Major funders include Mr and Mrs Barton.

Gandys Foundation
Year Ended 31 May 2021
The trust's assets are for the generation of investment income for the financing of
operations.
In the opinion of the Board. the funds held at 31 May 2021 were available and
adequate to fulfil the trusts existing oblwations.
There have been no material changes in the policies of the charity during the year.
DIRECTORS
The directors during the year under revtew *w8".
Preet Legha
Paul Forkan
Robert Fork
SMALL COMPANY PROVISIONS
This reFK)rt has been prepared in ￿ance with the small companies regime urKler
the Companies Act 2006.
RESERVES
The Board has reviewed the reserves (rf the Charity. This revie* encompassed the
nature of the income and expenditure streams, the need lo match variable income with
fixed commrtments and the nature of the reserves. The year end position shows that
unresthcted funds are £48.019 (2020: £18.758) and restrKted £nil (2020." £nil).
TRUSTEES, RESPONSIBILITIES IN RELATION TO THE FINANCIAL STATEMENTS
Company law requires the trustees to prepare financial statements for each financial
year which give a true and fair view of the state of the affaits of the charitable company
as at the balance sheet date aTrJ of its incoming resources and application of
resources, including income and expenditure, for the financial year. In preparing those
financial statements. the trustees should follow best practice and".
Selert suitable accounting polic￿$ and then apply thwn conststently.,
Obser4e the methods afKI principles in the Charities SORP..
Make judgements and estimates that are reasonable and prudent:
State whether applicable UK Accounting Standards have been followed. subject
to any material departures disclosed and explained in the financial statements.
Prepare the financial statements on going concern basis unless it is
inappropriate to assume that the tharitatAe company wll continue on thai basis.
The trustees are responsible for maintainiry prq)er accounting records which disclose
with reasonable acojrw at any time the financial pOSrt￿ of the charitable company

Gandys Foundatlon
Year Ended 31 May 2021
TRUSTEES, RESPONSIBILITIES IN RELATION TO THE FINANCIAL STATEMENTS -
continued
and to enable them to ensure that the financial statements comply with the Companies
Act 2006. The trustees are also responsible for safeguardirKJ the assets of the
charitable company and hence for taking reasonable steps for the prevenb'on arKI
detection of fraud and other i￿Ular1tles.
Chair's Report for Accounts and Public Benefft 2020-21
The Gandys Foundation received large donations in 2020r2021 from Mr and Mrs
Barton. These donations along wrth the fundraising efforts of the Forkan brothers. who
founded the charity. enabled us to complete the Kids Campus project in Mongolia.
which was built completety sustainabty usng shipping containers. The campus finally
opened in Seplember 2021. later than anticipated due to long Covid delays.
We also provided fvnding to our Nepalese charty partner to support their child
trafficking rehabilitation program and the educational trafficking prevention program.
We received money back from our fomer charity partner in Nepal as the charity broke
up. We continue to support the local charty on the ground, which was already doing
the work. Furthermore. donated funds to our Malawi charity partner to purchase
school uniforms and food lo feed the children I families from the kids Campus. We fully
funded an entrepreneurship program in our camws in Rio Brazil. We also provided
unifomis, school equipment and funded the running costs for a few high-level teachets.
as the campu5 had no access to international volunleer teachers due to Covid-19 travel
restrictions.
Our only operatin9 costs are accountsnts. fees as we all work on a voluntary basis. INe
are not committed to running costs for ary charity project and only agree funds to
support prqects when we actually have the funds in hand.
Looking forwwd inlo the corning year our aim ts to open another Kids CampLJS and to
visit Our existing campuses which we have not been able to do since before the
pandemic.
Paul Forkan - Trustee
Gandys FourKlation
18 February 2022

Gandys Foundation
Y￿r Ended 31 May 2021
INDEPENDENT
EXAMINER'S.
REPORT ON THE
ACCOUNTS TO
THE
TRUSTEESIDIRECTORSNEMBERS ON THE PREPARATION OF THE UNAUDITEO
STATUTORY ACCOUNTS OF GANDYS FOUNDATION FOR ThE YEAR ENDED 31 MAY 2021
SET OUT ON PAGES 7 TO 15.
I report lo the charity tTu$lees on my examinalpjn of the &xounts of the Company for the year
ended 31 May 2021.
R•8pon8ibilitiw and b￿1• of r•port
As the chaity's Iwstees of the cOmp￿Y (who are also the directors of the company for thg
purposes of company Lawl, you are responsibbe forthe prepaiation of the aco)unts in accordance
wrth the regul￿Men$S of the Companw A£t 201K llhe 20cis kr).
Hawng satisfied myseff that the accounts of the Company are not required to be audited for this
year under Part 16 of the 2006 Act aftda￿ elTrJibleforindependenl examinalron. l ￿Port in ￿SpeCt
of my examination of your charty'5 accounts as carried out under sectK)n 145 of the Charil*s Act
2011 fihe 2011 Acr}. In carrying out my eXaminat￿n. I have followed the Directions given by
the Chanty CcxnmisS￿n (under Sects"￿ 145(5){b} of the 2011 Act.
Independent examln•rfs *t•tement
I have compteled my examination. I confimi that no matwol matters have com& k) my attention.
which give me cause lo believe thaL
accounting reeords wefe not kept in ￿OrdanCe with sectton 386 of the Companies kl
2006," or
the actLJunts do not ace4)rd wrth such recor(ts: or
the aceounls do not compty with rethnt account requirements under section 396 of the
Compan￿$ Act 2006 other than any wuirement that the a¢￿Unts give a 'true and fa
wh￿h is not a matter con5Klered as part of an independent examination., or
the accounts have not been prepared in accordance wrth the Charrties SORP IFRS1021.
C Parry ACA
Date: 18 February 2022
A Wo¢)d and Co LLP
Chartered Accounlants
18-20 Moorfand Road
Burslem
Stoke on T￿nI
Staffs
ST6 1DW

Gandy5 Foundation
STATEMENT OF FINANCIAL ACTIVITIES
Year Ended 31 May 2021
Note Unrestricted Restricted
fund
funds
Year
Year to
Ended 31.05.20
31.06.21
INCOMING RESOURCES
INCOMING RESOURCES
FROM CHARITABLE
ACTIVITIES:
Donations arKI legacies
TOTAL INCOMING
RESOURCES
53.620
RESOURCES EXPENDED
Govemance Costs
Charitable Activittes
Other Resour￿$ ExperKled
TOTAL RESOURCES
EXPENDED
660
61,499
106
660
74,000
128
61.499
62.265
62.265
NET (EXPENDED)IINCOMING
RESOURCES- NET INCOME
FOR
THE PERIOD
29.261
29,261 (21.168)
NET MOVEMENT IN FUNDS
Total furKls at 31 May 2020
29.261
18.758
29,261 {21,168)
18,758
39,926
TOTAL FUNDS AT 31 May
2021
48.019
48,019
18,758
The chanty has no reccsnised gans or losses other the net movement in funds for
the year.

Gandys Foundation
STATEMENT OF COMPREHENSIVE INCOME
'Year Ended 31 May 2021
2021
2020
{Deficii)Isurplus for the year
Total comprehensive income for the year
21.168
21,168
STATEMENT OF CHANGES IN EQUITY
Unrestrided
funds
Total
At 1 June 2020
Surplus for the year
18.758
Total comprehensive income
At 31 May 2021
29,261
48.019
Unrestrided
funds
Total
At 1 June 2019
Surplusl{Defjcrt) for the year
39,926
21.168
Total ￿MPrehenSive in￿rne
At 31 May 2020
18,758
18,758

Gandys Foundatlon
BALANCE SHEET
Charity No. 1152918
At 31 May 2021
Note
31.05.21 31.05.20
CURRENT ASSETS
Cash at bank and in harKI
Other debtors
49,279
19.358
49,279
19.358
CREDITORS.. Amounts falling
ue within one year
600
NET ASSETS
48,019
18.758
Unrestrided funds..
General funds
48,019
18,7S8
48,019
18,758
Restricted funds
TOTAL FUNDS
48.019
18,758
For the year ending 31 May 2021 the charitable Company was entiiled to exemption
under serAion 477 of the Companies Act 21Xi6.
The members have not required the company to obtain an audit in accordance with
section 476 of the Companies Act 20CE.
The trusteesldirectors acknowkdge their responsibillties for complying wrth the
requirements of the Companies Act 20(kS wrth respect to accounting records and the
preparation of accourts.
The financial statements were approved by the trustees (x) 18 Feb￿￿ry 2022 aTr
gned on their behalf by".
Paul Forkan - Trustee

Gandys Foundation
Year Ended 31 May 2021
ACCOUNTING POLICIES
The following accounting policies have been applied c•nsistenty in dealing with rtems
which are Considered material in relation to charity's financial Statem￿1$..
BASIS OF PREPARATION
The financial statements have been prepared under the hBtorical cost accounting rules
and in accordance with applicable accounting stsndards.
The finanaal statements have been prepared in accordano wtth the Charitres SORP
(FRS102).
The financial statements have been prepared in accordance wth Fiiancial Reporting
StarKJard 102.
GOING CONCERN
The Directors of the Charity are aware that m the absence of fundN)g becoming
available within a reasonable timescale. a deasion to liquidate the company would
need to be implemented to avoid insolvent tradirKJ.
INCOMING RESOURCES
Voluntary income is received by way of donations arKI grfls and is included in full in the
Statement of Financial Activities when received. The value of services provided by
volunteers has not been included.
Grants. includiNJ grants for the purchase of fixed assets. are recognised in full in tr
Stat￿ent of Financial Activilies in the year in which they are recelvable.
RESOURCES EXPENDED
Resources expended are recognised on an accnjals basis. Resour￿ expended
include attn'butable VAT. whi¢h cannot be recove￿.
Resources expended are allocated to the particular activity wh￿e the cost relates
directly to that ath"vty. Costs are apportior￿d on a use basis where appropriate.
TAXATION
As a registered charity the trust is exempt from liabilty to corporation tax and no
provision for taxation is therefore made.
io

Gandys Foundation
Year Ended 31 May 2021
ACCOUNTING POLICIES
FUND ACCOUNTING
Restricted funds are to be used for specific purposes as laid down by the donor.
Expenditure which meets this crrteria is charg￿1 to the fund. together wth a fair
allocation of management and support costs.
Unrestricted funds are unrestrIc￿ fvnds which Ihe trustees are free to use in
accordan￿ with the obj.ects of tre charity.
Designated funds are unrestricted funds which have been altocated for specffic
purposes by the trustees.
RESOURCES EXPENDED
Expenses have been apportioned betwe￿ the different types of costs by the charity
Manager.

Gandys Foundallon
NOTES TO THE FINANCIAL STATEMENTS
for ttle year ended 31 May 2021
INCOMING RESOURCES FROM ACTIVITIES TO FURTHER THE CHARITY'S OBJECTS
Year
Year
ended
ended
31.05.21 31.05.20
Total
Totsl
Donations and legacies
Various
Mr & Mrs Barton
11.026
11,026 13,620
80.500 40,000
91.526
91526 53 620
2 TAXATION
The charity is exempt fr(xn corporation tax on ts charitable actIv￿s.
12

Gandys Foundatlon
NOTES TO THE FINANCIAL sTATEME￿irs
for the year ended 31 May 2021
TOTAL RESOURCES EXPENDED
Generatry Chantable G¢wern￿ee
Funds
Other
Year
Resou￿ endgd
31.05.21
Totsl
Year
ended
31.05.20
Total
Affican V￿lon
Malawi
2,220
PnJjeLt FaveLa
31,025
31,025
43,7C
Chora CMri
2.254
2.254
25.OQ)
Veloo Fr￿￿￿al
Covid b)d dr(¢)
Child Bereavement
300
Sundry EX￿nseS
Bank charges &
interest
1(6
128
OEBTORS
Year
ended
31.05.21
Year
ended
31.05.20
Other debtors
13

Gandys Foundalion
NOTES TO THE FINANCIAL STATEMENTS
for the year ended 31 May 2021
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
Year
ended
31.05.21
Year
ended
31.05.20
Accrued expenses
ANALYSIS OF NET ASSETS BEPIEEN FUNDS
Unrestrided
general
funds
Restricted
funds
Totsl
Current assets
Current liabilities
49,279
(1.260)
49,279
(1,260)
NET ASSETS At 31 May 2021
48.019
48.019
MOVEMENT IN FUNDS
At 31 May
2020
Incoming
Outgoing
resources resources
At31
May 2021
Restn"cted funds:
General (see note 3)
Total restrided furKIs
Unrestricted funds:
General funds
18.758
91.526
(62.265)
29,261
Total unrestricted funds
18.758
91,526
(62,265)
29,261
TOTAL FUNDS
18,758
91,256
(62,265)
29,261
14

Gandys Foundation
NOTES TO THE FINANCIAL STATEMENTS
for ttte year ended 31 May 2021
RELATED PARTY TRANSACTIONS
None.
INDEPENDENT EXAMINATION
The net fee for the IndeF*ndent examination was £250 (2020 £250) and also £300
(2020 £300) for the preparation of the a£counts.
10
EMPLOYEES
There were no employees durirKJ the year (2020 nil).
15