REGISTERED CIIARITY NUMBER: 1153TIO
itc4J Financial Statements for the Ycar FJthd 30
ia Da FouTh4*ion
Trust
Arm James Con9Jhing Limityl
4 E&%t Hill
Wembley P
Middlesex
HA9 9PT

TheA
liaD
Contents of the Financial Ststemen
for the Ye* Ended 30
ber2023
Rewwl of theTn￿¢e5
Ststemtnt of Financial Aetivitie5
BalaTr￿ Shttt
Note5 tothe Financial Stthrnents
4t06
Detailed StstemeDt of Financial Acb

The tnjslees present their reiYAt with ihe firthn¢ial st￿¢ments of the for the y¢Br ended 30 Seplember2023. The
ITU51ees have ￿0P￿d the provisions of Accounting Rer*)rting by Chwtlses: s￿rmcn1 ofRccommend¢d Prxli¢e
applicable to ehariliej prtpvinB their in with the FinwKial Repofiin8 Sthndard *pplic8ble in the
UK ond Republi¢ of Irrlwnd {FRS 102) leffedbve l January 2015
oWE￿1vFs AND ACTivrriLS
Objettlyts Alms
The Austrolit Day FourKI￿l￿n UK TnLSes +Jbjectiv¢s •￿ the wblic benefit to prnmole the edut*ion, including the
social and phy5iuI trainin& ofyoung Australi￿ citizens who ar¢ living or working I￿ ry Visiling the Unitd Kingdorn
l) &wardin8 financial wi518nc¢ in the r(ffm of ￿lO￿ancts knd tenable at any university. eolle8e of institirlion
of higher or further education.
ill lldvwKing th¢ir education {iD¢luding the study of the ¢ultur4 Iwe or stheneek or wisling them to
undcrtake tsavel in filrthcrance of education (f to &Yep￿t to My l￿￿PAtiOn. busines& frndc of
profession.
GrAD¢ m•kthg
ThLS 15 the 8th year of Brant m•kin8 •nd in line with the TTr￿$ policy. • ￿thI of I I candid*5 Imve Tec¢ive4 arml
benefiied fmm the grants sinte 2015. TheTn*es have •ward¢d 4 totsl 8r•ntof£125.075 up ¢0 now.
STRUCTUR& COVERNANCE AND MANACKMENr
Governlng doethmtllt
charity.
The conAiMi(ffi signed ¢)n the 27 May 2013 by th fixuth meJnber& •lso try5te¢s. This was approved by
the Charity Cornmission on th¢ I I Sep¢•nber 2013 8$ • registu￿ ¢haTity.
REFERENCE AND ADMINISTRATIVE DETAIiS
Reglstered Charlty D¥mb¢r
153770
Prlntlp*l *ddres*
The Austratia Centre
Strand
LondoD
WC2B 4LG
D C Hickey
Bronwyn Cyrtis OBE
R B Porter
W M MuirheadAM
B*Dke
Clydesdale PIC
I￿158 Ka)sing￿tt High Sfrr
i￿ndOn W8 7RL
Approvd by order of iwrd oftntstres on 05 Juty 2024 and on its behalf by:
D C Hickry- TnNe¢
Page I

undation
stsiemenl of Financial Actiwti
the Ye4r End
30.923
30.922
fimd
INCOME AND ENDOWMEKfs FROM
InvesDn¢nt itKotne
378
378
378
Tot*1
378
378
378
EXPENDITURE ON
Cb*ritsble activities
ScholaT5hips
10.0
lo.￿
10.0
Totsl
10.(K
IlJ40
IlJ40
NET INCOMFJ(EXPENDrfuRE)
(962)
(lo.(￿)
(10.962)
(lQ¥)2)
RECONCIIJATION OF FUNDS
Totsl fvDds brought forward
11.984
39.858
51.U2
51142
TOTAL FUNDS CARRIED FORWARD
11.022
40,880

30.923
30.922
Unr¢StrI￿ Rwtrictrd Totsl fvnds TO￿ fimds
rw
CURRENT ￿ETs
C4sh It bank Ind in h￿d
29.858
41360
41J
CREDtroRS
Amounts f811ing due Wbthin one ytar
1480)
(480)
(480)
NET CURRE￿ ASSETS
11.022
40.880
TOTAL ￿ETs LLSS CURRENT
LIABILMES
29.858
40.880
40.880
ASSETS
29.858
40.880
FUNDS
UnrestricRd fuThJs
Restyictrd fiwds
11.022
11,022
29.858
TOTAL FUNDS
40.880
40.880
The fmancial #atements Wertawro￿d by th¢ B¢wd of Thrtee5w 05 2024 and signed on itst¢half by:
D C Hickey-Trustee

e Australia
Found*ion
oles to the
for the Year
inancial
nd
tstem
ACCOUNTINC POLICIFS
B*sb ofprep*rkng tbe f¥p￿dI7 sl•l¢mepts
The financial s￿ements of the ch￿•￿, which is a pub]ic benefil entiiy under FRS 101 have been prepared in
T￿COrd8nct the Clwitic5 SORP (FRS 102) 'Aecountin8 #nd Repcrting by ajarities: Slalement of
RerLKntncndcd Pradict Ipplicable to d￿ltIeS prepwing their T*counts in with th¢ Finan¢ial
Reporting Standard w>pli¢able in the UK and Republic of Ireland (FRS 102) (effective l Januwy 2015),.
Financial RewJrtin8 Stsndard 102 Tr Flnattci￿ Rq%)rtins Ststtdard applicable in the UK and Republic of
Ireland, and the Chatilies Aa 2011. Tr fitwKiai $￿ements have been wepared uThJer the h14ori￿1 ￿$1
All income 15 rwi5ed in the OfFinanCi￿ Adivitics oncethe chty trAs entidement ￿ the fimds it
ts probable th#the inty)rne will be reteivt4 the am£￿￿tan be me8swed ttliabty.
ExpeTrditur¢
Liabilitie5 are reo)gThis¢4J ￿ exp￿11￿¢ as swn as ther¢ is a legal or construeiive obligation wmmittin8 the
charity to that ¢x&xThlitiry it is PTobabl¢ thw a tr￿1¢1 of e£orK￿niC benefits will bE rrquircd in settlemcni and
the amount ofthe obligatirm b¢ meastjred ￿11abty. EX￿difu[e is accounted for on an ￿ttual$ knis and has
been C1￿1fi￿ un¢kr headings that a8ye8ate all cost ￿lated ￿ the c*egory. Whue costs cannot be diredly
allTibubJ to particular headin8& thry bave been all￿atrd io Tthities on a knis ￿￿t5￿nt with the us¢ of
Grnnts off¢rnJ subject to conditions wbich ha￿ md 8ttheyartthJ datr are noted as a commitinent btst
T*ulio#
The charity is exempt fmm on itsdwitsblt a¢tivilieK
FllTrd
Restricttd ffijnds ￿ onty be pwtitvjar re￿7¢¢¢d within the (**iects of the eharity.
Restridion5 ori5e when 4*cified by the don￿OrWhe￿ fiY#ts are raised forpart1cularTestri￿￿ purpos
Further txplanation of the natsue Ind EKw)se of exh fimd is iKlllded in th¢ no*5 to the finaKial sts*ment&
30.911
30.922
378
378
TRUSTEES, REMUNERATION AND BENEFITS
ended 30 Septemt*Y 2021
Thue were no trust￿ expe05¢5 the yttr ended 30SeM¢mber2023 for th¢ year endp
30 September2022.
CREDm)KS: AMOUNTS FAtIJP4G DUE wmiiN ONE YEAR
30.923
30.922
480

MOVEMENT IN FUNDS
A¢ 1.1022
in fur
A¢ 30.923
Illlrthrkt¢d f•4d¥
Gtntrni fimd
11,022
(962)
11.022
R4slrlt¢ed funds
Educational xlk)larnhip fw
29.858
(lo.(￿)
29.858
TOTAL FUNDS
40.880
40.880
Net movement ID funds included in theabove follows:
Iwomtng
Re5frtwees Movernenl in
rfsourrts expended
funds
Unrestrlcled fu•ds
General fund
378
(iJ40)
{962)
Resirfded fuDds
Educational s¢holatship fund
(10,LXX))
(io.rrtJo)
TOTAL FUNIYS
378
CoMp*r*i￿t9 for movemetht l* fth*ds
Net movement
irt funds
At 1.1021
At 30.9.22
UDrestrlel¢d FuDds
General
(962)
11.022
R¢strlrted Funds
EdUc￿lL￿1 $d￿l￿thip fund
39.858
(lo.￿>
29.858
TOTAL FUNDS
lo.￿2)
40.880
Comparalive nel rnov¢murt in Incl￿ ￿ th¢ •boVe￿•S follows:
Incomin8
Resourtts
expended
Mov¢mcni In
fimds
Uure5trlded
General fund
(1.404)
(962)
Educational scholw5hip fund
TOTAL FUNDS
498
1.404)

DtheFi
te
MOVEMENf IN FIJNDS- tMllni¢d
A yew 12 mthrths piwyear 12 m(mths combinoj p)yitiOO ig Ag fdknys:
Nel m¢)vtrntnt
in fvnds
At 1.1021
At 30.9.23
U•Te5trirted fllndg
G￿eTrI fund
(l.B68)
11.
Restrlcted funds
Educ4tiond sChol4￿h1P fimd
TOTAL FUNDS
A oJrrcDt year 12 mothths aThJ priorytar 12 ￿(￿th5 CLMnbined net Mov¢￿ in included in th¢ aiThfe are
•$ follow5:
Iwyming
Resou￿ Movement in
eX￿ded
Unrtgtrkned f•4
876
11744)
(1.868)
Re￿t￿ fo•ds
Edu¢*ionai SthOla￿1p fimd
TOTAL FUNDS
876
12.744)
REiATED PARTY DISCLOSURES

for the Yur Endcd
30.923
30.922
INCOME AND ENDOWMENTS
t>ortaiio•s *•d leg4rles
378
378
Totsl rtaourtts
378
378
LYPENDrruRE
Chxrltsble *¢tivitle¥
Grants to individuals
iomi
io.ory)
Support t05ts
MADagtmeDt
Administr&ion expense
IT and Website ex￿
Govern*nee
Accounlw and le8￿ fees
860
860
resMr¢e¥ expended
lJ40
Nrt expe￿I￿re
10.962
10.962