Trustees. Annual Report for the period
Period stsrt date
April
Peri￿1 end date
April
From
2021
2022
Section A
Reference and administration details
Charity name
The Dragonfy Scthwls Foundation
Other names charity is known by
None
Registered charity number (rf any)
1170021
Charitys principal address
Stonecroft, Main Street.
Yearsley. Brandsby.
York
Postcode
Y0614SL
Names of the charity trustees who manage the charlty
TnMtee nam•
Office rrfany)
Name of p￿50￿ lor body) entrtled
toa
olnt trustee
bfan
of this re
Caroline Mytum
Chairper50n
Data Protec
Treasurer
Alan Kitchen
BethanRatcliffe
Secretary
Child Protec*ion
Ruth Dance
Margaret Kitchen
Peter Wise
Online shop
Sam Brewin
Lollie Rugg-Easey
Frotn September 2021
10
12
13
14
15
20
Names of th8 trustees for the charity. rf any. {for example. any custodian trustees)
Name
Dates acted rf not for whole oar
Names and addresses of advisers (Optional inforniation)
TAR
June2018

e of adviser
Bank
Name
Virgin Money
Address
46. Coney StreeL York Y019NQ
Name of chief executive or nanes of senior staff members {OpUonal Infomiation)
Sue Bretherton- Founder and Director (unpaid)
lan Bretherton- Founder arKI Director (unpaid)
Section B
Structure,
overnance and mana
ement
Description of the chaiity's trusts
Constriulion adopted at the first meeting of trustees on 20111116. It was
most recently amended at the AGM on 15108120.
TyrE of governing document
How the charity is constituted
cio
Trustee selection methods
Trustees are apwinted by resolulion at a properly convened meeling of
twstees.
Additional govemanca Issues (Optional infomiation)
All trustees arHJ our tr40 foundersldiredors continue to give their time
voluntsrily and receive no remuneration. expenses or other benefits. A
new trustee began their 4-year term of office in September 2021.
You may choose to include
additional information, where
relevant.about
policies and procedures
adopted for the induclion and
training of trustees",
the chartty's organisational
structure and any wider
network with which the charity
works:
relationship viith any
relatedparties-
trustees, consideration of
major risks and the system
and procedures to manage
them.
We (￿ltinue to maintain our fomial partnerships four NGOS WOTking
in Pushkar and AJ"mer, through thich we cary out our objects, providing
education and vocational training. These partnerships are established and
montlored ￿a WfTtten agreements which set out the rotes and
responsibilities of partner.
The Ttustees have given consideration to the major risks to which the
charity is exwsed- partscularty those arising through the safeguarding of
children and vulnerable teenagers. the handling of data and the
management of our finan￿S - arKI have satisfied themselves that systems
or pr￿edureS are in to manage ttK6e risks. induding:
A Child Protedion Oicy and training
A Financial Management policy
A Due Diligence policy
A Data Privacy policy {(x)mpliant with GDPR 20161679)
A Risk Management policy
The Trusiees have assur￿ themselves thaL during the pandemic,
protection measures were in operation in our partnership schools and the
TOLFA animal hospilal. and helped to fund masks, soaps, sanitizer and
fresh watsr.
This report has been prepared in accordance V￿th the Charity
Commission d(Kument" 'Charity retM)rbng and accounting: the essentials
March 2015 CC15c'.
TAR
Jun82018

Section C
Ob"ectives and activities
The object of the CIO is 'the advancement of education, ftir the public
benefit, by the provision of schools, teaching, SponSo￿hlp and vocational
training for the development of the mental. physical and moral
capabilities, and the impmvement of Ihe prospects for employment and
a￿sS to Further and H￿her Education. of tlx)se children and
adolescents living in India. who do not access education or fraining for
any reason, including poverty. neglect. leaming or otherdevelopmental
difficulbes. disabilty, low Gaste status orthe absenc& of family members
or carers.,
The main activities undertaken for the public benefit in relation to the
a￿ve object are as foll0v￿".
Summary of the objects of the
charity set out in Its
governing document
Organisation and hosting of a range of fundraising events
including tslks and wesentations to sch￿1$. organisations artd
charitable bodies. sales and events. Al have now recommenced,
following the end of the pandemic lockdovms in the UK.
Submissmm of applirations to grant-making trusts for funding.
Communica￿n of our objectives a￿1 achievements through our
website blog. regular newsletters and. when possible. the media.
Generation of both regular {Standing Order) and on8-off
donations in aid of our woth.
Summary of the main
activities undertaken for the
public benefit in relation to
these objects (include within
this section the statutory
declaration that trustees have
had regard to the guidance
issued by the Charity
Commission on public
benefft)
Development by directors and trustees of polictes and plans
which enable our charity to cary out tts W￿rk and to achieve its
objectives effectivety, efficiendy and safely.
Regular twice-yearty ViSFis to Pushkar by our fouThJersldirectors to
montior and evaluate our projects have been prevented this year
by the pandemic. The last such visit bvas dunng November 2019.
We hope to be able to retum in 2023. All visits are entirely at our
cQ￿foUrKlers'/dlreCtors. personal expense. including all travel.
accommcKlation and all living expenses.
In a(hji￿n to the above, maintaining close contsct by email,
z￿Jrn. Skype and telephone wtlh our four partner NGOS in
Pushkar in order to continue to monitor and evaluate our proje(ts.
This includes the submission of progress reports and supportive
evidence by ￿Jr partnws on a 6-monthly basis.
In planning the activities for the year, the trustees kept in mind and
applied the Chartty CL¥nmission's guidance on public beneftt during
fundraising presentalions and meetings of tnjstees.
TAR
JuM2018

Addttlonal detslls of objecllves and aCtmu￿ (Optlonal Informatlon)
Our fundraising activities. as wdl as the organisalional slwcture and
governan￿ of our charity. rely entirely UFrf)n our trustees,
foundersldirectors and supporters. all of whotn give their time and skills
voluntarily and we are enormousiy grateful to them for their generosity.
The trustees and directors are aware of the requirements in the Charilies
Act 2016 regarding protectM)n of the public, induding vulnerable people,
from unreasonably intrusive or persistent fundraising approaches and
undue pressure to donate.
You may choose to include
fijrther statements, where
relevant.about'.
policy on grantmaking:
policy programme related
investment.
No commercial participators or prOfeSs￿nal fundraisers have been
used by TDSF. and there ￿ve t*en no registered fundraising
complaints.
contribLrtion made
byvolunteer5.
TAR
JLH*2018

Section D
Achievements and performance
The main achievements of The Drdgonlly Schools Foundation during the
year from 6 April 2021 to P April 2022 are summarised in the points
below.
Summary ofthe main
achievements of the charity
during the year
We have provmjed eduration fcr approximately 150 chiklren through:
Funding of fli and ￿t te&hers at our three partnership schools.
Additional funding of flt specialist Speoal Needs teachers and 8
flt physiotherapist. speeth theraptst a￿1 teacher of the deaf at our
parthet5hip special needs school.
Funding of premises rental c￿sts and utilibes and wifi costs for our
pathership sch(M)Is.
Funding of teathing resour￿ for our partnership schools.
Funding for 5 five-year sp)nsorships for children to att8fKI
mainstream sch￿ling.
Funding of 3 three-year vocational Animal Care traineeships for
teenagers at an award-winnir)g animal hospital in Ajmer.
StrengtheniTh3 of existing relationships and development of new
ones to enhan￿ and improve the effectFveness of our projects
and explcKe new avenues for athieving (￿r aims and objectives.
Provision of regular f(KJd aid to all families of our Fertnership
Sch￿Is. pupds durir¥J India's pandemic IcKkdowns.
Section E
Financial review
A policy on mairrtaining a £5.000 reserve was agreed at the 09104117
Trustees meeting.
Brief statement of the
charity's policy on reserv8S
£570.(Kl of the funds held in the account at the end of the financial year
Details of any funds materialty
In deficit
None
TAR
June2018

Further financial review detalls (Opllonal infomiation)
There are no funds held as a custodran trustee ￿ behalf of others.
YCAJ may choose to indude
additional informatti)n, where
relevant about:
the charty's princtpal
SoUr￿S 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.
Our main Sour￿ of funds this year has been from individual donations on
line and at events. We have also had funding from Charilable Trusts (Fr
Mahoney Memorial Trust The Fulmer Charitable Trust and the John and
Maureen Hume Charitable Trust), businesses {K Home Engineering,
Thomas of York and Hcfyvardian Helpers). These furKls have allowed us
to c(*nmii to expenditure on the p￿jeCts described in this report.
Expenditure this year has been for providing funding for our partners
(Wikas Project. TOLFA Pushkar Children Trust and Jyotirgamay Seva
Sansthan). In addtlion. have also funded our chartws webstte
management and eBay strK)p fees.
Wtth the Covid-19 siiuation easing we have been able to resume our
rK)mial fundraising adivities, whth enabled our I￿rne to approach pre
pandemic levels. This allowed us to support our partners with funding for
form1 packages to pupils. families whilst India had been in lockdown, as
well as maintaining a reduced lev81 of our routin8 operational payments
during 2021. Since January of 2022 we have been able to restore
funding to our partners to pr&pandemic levels. vAth schools in India
having re-opened.
Section F
Other optional information
The coming year will see the continuation of our formal partnerships wf(h TOLFA, Vikas Project, Pushkar
Children Trust and Jyotirgamay Seva Sansthan. We will also continue to provide financial supP(￿t to our
partners for fijrlher food aid for our pupils. families as the (*Anging Covid-19 siiuatyon in India demarKIs.
The accounts have been prepared on a r￿ipts and payments basis. with the financial accounting pericKI
being from 6° Apn'l 2021 to V April 2022.
Due to the gross income ts the last financial year being bek￿ £250,0(X) and with assets less than £3.26m
there is no legal requirement for our charity's arLounts to be audtted. Even though the gross annual income
is less than £25.000 we decided to again have an independent exarnination of the accounts. whith has been
carried out- see signed declaration b81ow.
The bank acrnunt is managed by Ihe Treasurer th another trustee, and with the ryFfourKlersldirectors
having online access to view transacti(￿ only.
TAR
nè2018

The Drxgolllty Scb(MJb FoMAdati0o
Ac¢otyM
Statrmeot by Ewnl*er
l eonfirni that I have examined all w1Un￿ d￿UMents and supwting evtdence wividcd to me. and
in my opini(In they give a tr￿ f¢PreSen￿lon of the fina￿101 situation of the Drngonfly ￿hlK)IS
Foundation for the PtriLNI.
J4)hn Middleton
￿<￿. Examiner
Date: 22" Wembey 2022
Section G
Declaration
The trustees declare that they have approved the tnjstees, report above.
Slgned on behalf of the charitys trustees
Stgnature
Full name
Caroline Mytum
Posltion (eg SeGretary, Chair. etc)
Chair of Trustees
Date
14101r2023
TAR
June2018


|**Charity Name**<br>**The Dragonfly Schools Foundation**|**Charity Name**<br>**The Dragonfly Schools Foundation**|**Charity Name**<br>**The Dragonfly Schools Foundation**|**Charity Name**<br>**The Dragonfly Schools Foundation**|||**No(if any)**<br>**1170021**|**No(if any)**<br>**1170021**||
|---|---|---|---|---|---|---|---|---|
||**Receipts andpayments accounts**||||||||
||**For the period**<br>**from**||06/04/21<br>Period start date||**To**||05/04/22<br>Period end date||



**CC16a** 

## **Section A Receipts and payments** 

|**Section A Receipts and payments**|**Section A Receipts and payments**|||||
|---|---|---|---|---|---|
|**Unrestricted**<br>**funds**<br>**to the nearest      £**<br>**A1 Receipts**<br>Donations<br>**11,380**<br>Fundraising<br>**1,609**<br>Gift Aid receipts<br>**847**<br>Sales<br>**296**<br>Collections<br>**-**<br>Interest<br>**17**<br>**-**<br>**-**<br>**_Sub total_**_(Gross income for AR)_**14,149**<br>**A2 Asset and investment sales, (see**<br>**table).**<br>**-**<br>**-**<br>**_Sub total_                                 -**<br>**_Total receipts_                     14,149**<br>**A3 Payments**<br>Donations to Vikas School<br>**5,263**<br>TOLFA apprentices<br>**3,050**<br>Donations to JSS(previouslyRicha)school<br>**5,200**<br>PCT sponsorships and after school classes<br>**1,800**<br>Website fees<br>**240**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**_Sub total_                        15,553**<br>**A4 Asset and investment purchases,**<br>**(see table)**<br>**-**<br>**-**<br>**_Sub total_                                  -**<br>**_Total payments_                     15,553**<br>**_Net of receipts/(payments)_**<br>**-                    1,404**<br>**A5 Transfers between funds**<br>**-                         66**<br>**A6 Cash funds last year end**<br>**33,606**<br>**_Cash funds this year end_                     32,136**||**Restricted funds**<br>**to the nearest £**<br>**150**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**150**<br>**-**<br>**-**<br>**-**<br>**150**<br>**200**<br>**450**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**650**<br>**-**<br>**-**<br>**-**<br>**650**<br>**-                       500**<br>**66**<br>**1,004**<br>**570**|**Endowment**<br>**funds**<br>**to the nearest £**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br> **-**<br>**-**<br>**-**|**Total funds**<br>**to the nearest £**|**Last year**<br>**to the nearest £**|
|||||**11,530**<br>**1,609**<br>**847**<br>**296**<br>**-**<br>**17**<br>**-**<br>**-**<br>**14,299**|**10,249**<br>**815**<br>**982**<br>**304**<br>**-**<br>**17**<br>**-**<br>**-**<br>**12,367**|
|||||||
|||||**-**<br>**-**<br>**-**|**-**<br>**-**<br>**-**|
|||||||
|||||**14,299**|**12,367**|
|||||||
|||||**5,463**<br>**3,050**<br>**5,200**<br>**2,250**<br>**240**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**-**<br>**16,203**|**4,500**<br>**3,384**<br>**6,691**<br>**2,500**<br>**210**<br>**-**<br>**-**<br>**-**<br>**-**<br>**17,285**|
|||||||
|**A4 Asset and investment purchases,**<br>**(see table)**||||||
||**-**|||**-**<br>**-**<br>**-**|**-**<br>**-**<br>**-**|
||**-**|||||
|**_Sub total_ **|**-**|||||
|**_Total payments_ **<br>**_Net of receipts/(payments)_**<br>**A5 Transfers between funds**<br>**A6 Cash funds last year end**<br>**_Cash funds this year end_ **||||||
|||||**16,203**|**17,285**|
|||||||
||**-                    1,404**|**-                       500**|**-**|**-                    1,904**|**-                   4,918**<br> **-**<br>**39,528**|
||**-                         66**|**66**|**-**|**-**<br>**34,610**||
||**33,606**|**1,004**|**-**|||
||**32,136**|**570**|**-**|**32,706**|**34,610**|



## **Section B Statement of assets and liabilities at the end of the period** 

|||||||||**Unrestricted**|||||**Restricted funds**||||||**Endowment**|||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
||**Categories**||**Details**|||||**funds**|||||||||||**funds**|||
|||||||||**to nearest £**|||||**to nearest £**||||||**to nearest £**|||
|**B1**|**Cash funds**||Cash at bank (current account)|||||**12,087**|||||**570**||||||**-**|||
||||Cash at bank (savings account)|||||**20,049**|||||**-**||||||**-**|||
|||||||||||||||||||||||
|||||||||**-**|||||**-**||||||**-**|||
|||||**_Total cash funds_**||||**32,136**|||||**570**||||||**-**|||
||||(agree balances with receipts and payments|||||||||||||||||||
|||||account(s))|||OK|||||OK||||||OK||||



CCXX R1 accounts (SS) 

28/09/22 

1 



||||||||**Unrestricted**|||||**Restricted funds**||||**Endowment**||
|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|---|
||||||||**funds**|||||||||**funds**||
||**Details**||||||**to nearest £**|||||**to nearest £**||||**to nearest £**||
|**B2 Other monetary assets**|Paypal end of financial year balance from on<br>line sales and donations|||||||**-**||||**-**||||**-**||
|||||||||||||||||||
|||||||||**-**||||**-**||||**-**||
|||||||||||||||||||
|||||||||**-**||||**-**||||**-**||
|||||||||||||||||||
|||||||||**-**||||**-**||||**-**||
|||||||||||||||||||
|||||||||**-**||||**-**||||**-**||
|||||||||||||||||||
|||||||||**-**||||**-**||||**-**||
|||||||||||||||||||
||**Details**||||||**Fund to which asset**<br>**belongs**|||||**Cost (optional)**||||**Current value**<br>**(optional)**||
|**B3 Investment assets**||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
||**Details**||||||**Fund to which asset**<br>**belongs**|||||**Cost (optional)**||||**Current value**<br>**(optional)**||
|**B4 Assets retained for the charity’s**||||||||||||**-**||||**-**||
|**own use**||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
|||||||||||||**-**||||**-**||
|||||||||||||||||||
||||||||**Fund to which**|||||**Amount due**||||**When due**||
||**Details**||||||**liability relates**|||||**(optional)**||||**(optional)**||
|**B5 Liabilities**||||||||||||**-**||||||
|||||||||||||||||||
|||||||||||||**-**||||||
|||||||||||||||||||
|||||||||||||**-**||||||
|||||||||||||||||||
|||||||||||||**-**||||||
|||||||||||||||||||
|||||||||||||**-**||||||
|||||||||||||||||||
|||||||||||||||||||
|Signed by one or two trustees on behalf of all<br>the trustees|||Signature||||Print|||Name||||||Date of approval||
||||||||A|J Kitchen||||||||26/09/22||
||||||||Treasurer|||||||||||
|||||||||||||||||||



CCXX R2 accounts (SS) 

28/09/22 

2 

