VALE￿ 11
AFRICA
BROI.
AFFRICA
TRUSTEES ANNUAL REPORT
FOR THE PERIOD
1ST APRIL 2021 TO 30TH JUNE 2022

REFERENCE AND ADMINISTRATION DETAILS
CHARITY NAME:
Vale For Africa
REGISTERED CHARITY NUMBER:
1155642
CHARITY'S PRINCIPAL ADDRESS:
clo 50 Harbour Walk
BARRY
CF62 5BA
NAMES OF THE CHARITY TRUSTEES WHO MANAGE THE CHARITY:
Trustee Name
Peter DICKSON
Paul MOTTE
Edward ARBUTHNQT
Annette DOBBS
Jane HUTT .
Christine JAMES
Daniel MORRIS
Maureen MAPP
Dawn SAVILLE
Dr Hasmukh SHAH
Sian TESNI
Office
Chair
Treasurer
Dates Actod If Not For Whole Year
From 6 Se
To19Ma
tembar 2021
2021
From 18 Janua
2022
NAMES AND ADDRESSES OF ADVISORS:
of Advisor
Name
HSBC Bank Ic
Address
85 Holton Road BARRY. CF63 4HG
Bank
STRUCTURE. GOVERNANCE AND MANAGEMENT
DESCRIPTION OF THE CHARITYS TRUSTS:
Type Of Governlng Document:
The Chari￿s constitution was originally adopted on 8
March 2010. A revised constitution was adopted on 12
December 2013.
How The Charity Is Constilutsd." UnincoTporaled trust.
Trustee Selection Methods:
Trustees are apwnled or reappointed annually at the
General Meeting.
Additional Governance Issues:
At the chanty's last Annual General Meeting, it was
agreed to change trje financial year from 1 Apnl - 31
March to 1° July- 30 June. thus aligning il to the
same accounting year of the main beneficiary,
Advan￿ment for Community Empowemient in Tororo
(ACET). Thus, this reporting period covers 15 monlhs
from 1" April 2021 to ￿ June 2022.

Due to other (x)mmitments beyond the charity, the
Chair and Treasurer indicated that they would not be
seeking re-election in 2022. With reference to Charity
Commission advi￿ documents, and advi￿ from Hub
CymnJ Afiica and Glamorgan Voluntary Service, a
significant amount of time has been given over to
reviewing documentalion oU￿1ning the responsibilities
of trustees. the Chair. and the Treasurer.
During the penod. further financial support had been
given to ACET in support of their own work on ensuring
the organisation is ￿MplIant under the various
regulations applicable in Uganda. While this work is
ongoing, significant progress has been made thus
reassuring Vale for Africa and its trustees of Ihe
integrity and compliance of our partner organisation
and main b8neficiary.
The charity's bank. HSBC plc, carries out an annual
'Safeguard' review to protect against financial crime,
and Vale for Africa sats'sfied them with infonnation and
procedures.
All trustees give their time voluntarily and received no
remunerats'on or other benefits.
OBJECTIVES AND ACTIVITIES
Summary of tha objects of tho charfty sel out In Its governlng documents
The preservation and protection of good health by the provision of eye care and medical
outreach services in the Tororo District of Uganda;
To advance the education of the public and medical professionals in the study of eye and
eye health with the aim of improving diagnosis and treatment of diseases and conditions
which effect he eye.
To advance the education of the public by the provision of library services in Tororo.,
To advance the education of the public in the Vale of GlanN)rgan and surrounding areas
regarding health and education in Uganda.
Summary of the main activities undertaken for the public benefit in rnlatlon to these
objects
In delivering our activities for tt)e peri(xl. which continued to be severely restricted due to the
worfdwide Covid-19 pandemic, we kept in mind the Charity Commission's guidance on
public benefit at our trustee meetings. The main activities ￿)ntinUe to be the support of a
number of projects benefitting the community in Tororo District, Uganda. During the year. our
partner organisats'on in Uganda, Advancement for Community EMpowe￿nent in Tororo
[ACET]. helped us direct funds raised in the Vale of GlamcYgan. and surrounding areas, in
support of the community.

Our main projects were..
development of Ac￿'S govemance..
> financial support of the ACET rural library.
> the continued support of a student from Tororo compleb'ng her studies at uwc
Atlantic College, together with support enabling her lo o)ntinue studies in the United
ststes,. and
funds in support of the supply of protective equipment to the Benedictine Eye
Hospilal, and Tororo District Hospital as part of their Covid-19 resp¢Jnse and ongoing
needs.
The charity also acted as the vehicle for two water projects in Tororo District funded by The
Rotary Clubs of Cowbridge and Meissen. Germany. and a second project funded by a lo¢al
donor.
These demonstrate a significant reduction in activities when compared to previous years due
to Coronavirus reslrictions in the UK that severely impacted on fundraising and travel, and in
Uganda that also impacted on travel lo, and within the rxluntry. However, the activities that
were undertaken directly impact on the education and health care of ￿Sidents in Tororo.
Addltlonal dètalls of objectlves and a¢tlvltles
W8 are grateful to the many supporters who ensure that through their generosity, the quality
of lif8 for our ben8ficiaries is improved.
ACHIEVEMENTS AND PERFORMANCE
Summary of the maln achlevements of the charlty
The Charity was able to support six main projects in Tororo District during the period.
Regrettably, ongoing travel restn'ctions prevented an Eye¢are visit. Three of these, ACET
Governan￿. Library,. and UWC Auantic College student, were funded from the charity's own
resources while the fourth, financial supwrt to kjcal hospitals for the purchase of protective
ilems, was funded from the donations of three local supporters. A Water Project. wholly
funded by ihe Rotary Clubs of C¢)wbridge and Meissen was completed during the year as
was another Water Project funded during 2020121 by a local donor.
ACET Goveman
During the period under review, and with financial support from Vale
for Africa. ACET has developed a governan￿ system that is better able to support Uganda,
development strategies. Supporting these strategies is an obligation on all non-govemm8ntal
organisations in Uganda.
In addition. appropriate arrangements and funding are in place to ensure ACET'S board
members and staff are properly rewarded. together with assocrated professional fees.
We continued to support the library in Tororo by fijnding staff costs,. training,.
purchase of books,. and administrative costs. Numbers of users continue to grow to over
2.500 users.
In addilion, a final payment was maje to complete th& ￿pital works that had been agreed
and implemented during the previous year.

UWC Atlantic Coll
e student". During the period under review. we completed our support
for Josephine Nyachwo as a UWC Atlantic College scholarship student from Tororo district.
In addition to local funding of Josephine's needs. funding was also made available to
facilitate her ongoing education in the Untted States.
It is unlikely that a further scholarship student will be recruited. and altemative education
projects are under consideration.
Covid-19 Su
Our partner hospitals in Tororo, with whom we have worked to deliver
eye projects in the past, idenb'fied a need for additional protective equipment in support of
their response to Covid-19- both in the short and Medium￿Ong temi. With generous support
from th￿e donors, the charity has been able to fund signifiGant addits'onal supplies and
consider what might be necessary in the future.
The Water Pro
ect funded b The Rota Clubs of Cowbrid
e and Meissen.. The Rotary
Clubs, working in partnership, made funds available to allow a further four schools In Tororo
to instal a water supply.
rPr
The funded installation of water to eight
schools has been completed during the period. The water tsnks for sixteen schwls who had
received support in the past were engraved with donor details during the period.
FINANCIAL REVIEW
Brlef statom•nl on the charlty'8 pollcy on reserves
Our financial performance during the 15-month period ending 30 June 2022 has shown an
excess of income over expenditure of £19.5k as against a surplus of £1.6k in 2020111.
Financial performance in bolh income and expense continues to be impacted by the Covid-
19 pandemic, but in a different way than in the previous year due to an identified need for
Covid-19 support and associated additional financial support. In period ending 30 June
2022, income was increased by £31.Ok, including an increase in donations of £17.8k; an
associated increase in Gift Aid of £3.9k.' funding of water projects totalling £4.1 k., and a
fundraising event generating £1.8k.
Expenditure was signtficantly increased by £13.Ok after last yearfs record low of £14.9k. Th8
most significant item included in the current period is £12.5k to support the local hospitals
wilh Covid-19 supplies.
The generosity of donations has given rise to successful Grft Aid income of £8.3k during the
period.
Cash at bank on 3￿ June 2021 was £29.5k in unrestricted funds.
The m8in financial risk to the charity is Cu￿enty the pressing need to recruit trustees and
officers to ensure the ongoing actsvits'es of the chanty and tts future sustainability.

DECLARATION
The trustees declare that they have approved the trustee$. report above.
Slgned on behalf of the charty's tru
Signature
Full name
.O{,..Fre.4...../J.i.¢.1OrJ
Posltlon
Date

## **VALE FOR AFRICA** 

## **2021/2 INCOME AND EXPENDITURE ACCOUNT [£]** 

## **RECEIPTS AND PAYMENTS ACCOUNT FOR THE PERIOD ENDED 30 JUNE 2022** 

|**INCOME**<br>Supporters Subsciptions<br>General Donations<br>Gift Aid (HMRC)<br>Gift Aid (Virgin Money Giving)<br>Chair's Leaving Gift<br>Student's Leaving Gift<br>Repayment of Student Security Deposit<br>Fund Raising Activities (Sale of Cards / Calendars)<br>Fund Raising Activities (Dinner)<br>Returned Covid-19 support payment<br>Water project<br>**Total Income**<br>**EXPENDITURE**<br>Bank Charges<br>Virgin Money Charges<br>Charity Admin [Subscription]<br>Charity Admin [Room Hire]<br>Chairman's Leaving Gift<br>Fundraising Expenses [Printing of Calendars]<br>Fundraising Expenses [Dinner]<br>Student Support [Local]<br>Student Support [Uganda]<br>Student's Gift<br>Eyecare Project [2019]<br>Library Project [Operational Costs]<br>Library Project [Capital Cost Costs]<br>Water Project [Rotary Clubs of Cowbridge & Meisen]<br>Water Project [Mr & Mrs Patel]<br>Governance Expenditure<br>Covid-19 Support<br>General - Other / ACET Petty Cash Float<br>Total Expenditure<br>**Surplus / (Deficit)**|**_Period_**<br>**_ending 30_**<br>**_June_**<br>**_2022_**<br>3,190.20<br>25,991.22<br>6,982.06<br>1,301.25<br>Nil<br>10.00<br>250.00<br>500.00<br>2,610.00<br>2,502.07<br>4,082.33<br>47,419.13<br>424.47<br>1.84<br>35.00<br>25.00<br>Nil<br>Nil<br>800.00<br>218.59<br>570.17<br>200.00<br>Nil<br>3,274.11<br>99.69<br>3,161.84<br>42.33<br>3,458.90<br>15,073.86<br>509.77<br>27,895.57<br>19,523.56|**_Period_**<br>**_ending 31_**<br>**_March_**<br>**_2022_**<br>2,637.16<br>25,891.22<br>1,524.05<br>1,301.25<br>Nil<br>10.00<br>250.00<br>500.00<br>2,610.00<br>Nil<br>Nil<br>34,723.68<br>247.88<br>1.84<br>17.00<br>Nil<br>Nil<br>Nil<br>800.00<br>218.59<br>570.17<br>200.00<br>Nil<br>2,537.74<br>99.69<br>Nil<br>42.33<br>2,287.91<br>7,393.88<br>509.77<br>14,926.80<br>19,796.88|**_Year_**<br>**_ending 31_**<br>**_March_**<br>**_2021_**<br>2,427.16<br>8,156.15<br>4,359.81<br>36.25<br>230.00<br>190.00<br>Nil<br>1,080.00<br>Nil<br>Nil<br>Nil|
|---|---|---|---|
||||16,479.37<br>219.40<br>0.69<br>17.00<br>Nil<br>197.50<br>422.40<br>Nil<br>1,103.36<br>1,084.31<br>Nil<br>151.12<br>1,658.60<br>1,759.77<br>2,720.00<br>5,548.73<br>Nil<br>Nil<br>Nil|
||||14,882.88|
||||1,596.49|



OneDrive / 1202_V4A / 1102_Accounts / 1103_2022 / 1101_Accounts 2021_2 / Accounts 

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## **VALE FOR AFRICA** 

## **2021/2 INCOME AND EXPENDITURE ACCOUNT [£]** 

## **BALANCE SHEET AS AT 30 JUNE 2022** 

|**Assets**<br>Bank<br>Cash<br>Outstanding Gift Aid Claim<br>**Capital Account**<br>Opening Balance - At 1 April 2021<br>Add Surplus / Less (Deficit) for Year<br>Reverse prev year Gift Aid Claim<br>Outstanding Gift Aid Claim<br>**Closing Balance - At 30 June 2022**|**_Period_**<br>**_ending 30_**<br>**_June_**<br>**_2022_**<br>29,459.66<br>70.00<br>82.50<br>29,612.16<br>11,530.15<br>19,523.56<br>1,524.05<br>82.50<br>29,612.16|**_Period_**<br>**_ending 31_**<br>**_March_**<br>**_2022_**<br>29,732.98<br>70.00<br>5,457.88<br>35,260.86<br>11,530.15<br>19,796.88<br>1,524.05<br>5,457.88<br>35,260.86|**_Year_**<br>**_ending 31_**<br>**_March_**<br>**_2021_**<br>9,936.10<br>70.00<br>1,524.00|
|---|---|---|---|
||||11,530.10|
||||12,769.61<br>1,596.49<br>4,360.00<br>1,524.05|
||||11,530.15|



OneDrive / 1202_V4A / 1102_Accounts / 1103_2022 / 1101_Accounts 2021_2 / Accounts 

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C M Trigg ACA
4 September 2022
Independent examlners report to the trustees of Vale For Africa
Charity No 1155642
I report on the accounts of the charity for thè fifteen month period 30 June 2022, which are
set out on page 3 and show a surplus of £19,523.56 and closing funds at 30June 2022 of
£29,612.16
Respectlve responsibilitles of the trustees and the examlner
The charitws trustees are responsible for the preparation of the accounts. The charity's
trustees consider that an audit is not required for this year under section 144 of the
Charities Act 2011lthe 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)Ib) of the Charities Act} and
To state whether particular matters have come to my attention.
Basls of Independent examlners report
My examination was carried out in accordance with general direttlons give bythe Charitv
Commlssion. An examination includes a review of the accounting records kept by the charitv
and a comparison of the accounts presented with those records. It also includes
consideration of any unusual items or disclosures in the accounts seeking explanations from
you as trustees concerning any such matters, The 29procedures 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 and fair view and the report is limited to those matters set
out in the statement below.
Independent examlnerfs ststement
In connections With my examination, no matter has come to my attention:
l. 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:
To prepare accounts with the accounting records and comply with the
accounting 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.
C M Trigg ACA
l. Croft Gardens,
Sully.
Penarth. CF645GB
+/q/tZ