REGISTERED COMPANY NUMBER.. 11032807 (Etsglartd alld Wiles)
REGJSTERED CHARITY NUMBER,. 1176477
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCtAL STATV.MENTS FOR THE YEAR ENDED 31 MARCH 2025
FOR
KIRMqN DAVIES FOUNDATION
Anthews and Palsller
ChzrtetEd Accnlint￿ts
32 The Square
illin8harn
Dotset
SP84AR

KIRIVIN DAVXFS FOUNDATION
coNrENfS or THE FIF4ANCIAL STATEMENTS
FOR THE YEAR ENDED 31 MARCll20
Page
Report of ihe Tru3t¢e5
Independeut ExamiDtr'5 Report
Statement of Flnan¢ial Activities
Notes to tbè FI￿3￿CIal Ststtments

KtRWIN DAVIES FOUNDATION IREGISTCREDIYUMBER.. 11032807)
REPORT OF THF. TRUSTEES
FOR THE YEARENDLD 31 MARCH 2015
The trUSte&% who are also diTeCtOTS of the charity for th¢ purpses of th¢ Comp2nies Art 2006, prtsent their report with
the financial 513tements of the charity for the y¢ar ended 31 March 2025. Thc trustees have adopted the provisions of
AG¢ountillg and Rcporting by Charities.. Staten]ent of R￿On]mended PractlG¢ 3pplicable to chariue5 Prqjarln￿ their
¢ourtts in accordance wilh the Financial Reporting StsndaTd applicable ill the UK 8nd R¢publi¢ of Ireland IFRS 1021
(effective l January 20L9).
OBJECtIVES AND ACTIVITIES
Objeetives and 4illL5
The ObJ￿ts of the ¢harity ore ￿ Jpply its fvnd5 for such exclusively Gharitsble purposes 85 the trustt¢5 t￿Y thiryk fit in
acwrdance with the 8rtic1¢5 of ￿SO￿atron. The trustce5 confjnn that they have Itferrtd to th¢ 8ULJartce COntai￿d in ih
Charity Commission's Eeneral guidan¢¢ on pubSic tenefit when Trviewing the ¢h¥ity'S Xims and Objectiv￿ and
planning future actlVLtitt.
The Principal a¢tivity of the charity LS to 5UPFQrt & lirnited number of sNd£nts in fsftancial need with living and other
peDse5 during tertiary education.
Sigrtific•rLt $ctivitie$
Th¢ ¢hatsty will work with multi academy trusts to ideniify appli¢8nts who would bemefit from financial
assistance. The &pplicants will then be expeded to 6Kpl&n in writing why they need help md how th¢ Coursc thvy pian
tr> undertakc will change their lives.
ACH[ENEME￿fS AND PERFORMANCR
Chgritsble activith
Dt]ring the year the chan.ty rettived doDaiions to ¢nable its charitsble objective5 and aim5 to be met in ihis and fuwre
Fundraising attivities
Th¢ chariry does notcgrry out aT)y fundraising activitses.
FINANCIALREVIKW
FingnetAI po$ition
During th¢ yeaT to 31 March 2025. the Charity reG¢ivtd income of £54,144 avd incurted txpBndItU￿ of £25,292,
rttulting in a totsl Surp1￿ of £28,852. At the end of th¢ financial year the charity had n¢t fi￿d5 eALTi¢d forN¥d of
£73.378.
Re5Èrvt5 policy
The tsustees, policy is to Inwniain 5uffiGient reserves to enable the charity's comrnibnenis, inGludiDg 8mounts to due to
styjdents to b¢ m¢t.
STRUCTURE, GOVERTr4ANCE AND MANAGEMENT
GovernI￿g d0ellme￿t
The charity is govemed by lis ￿ticleS of &4s0ciatiort Ènd is a limitgj COMp￿Y litnited by guRr¥ntee incorporatcd undcT
the Compatties AGt 2006.
Induction and tYgitLing ¢)f new trustee$
The power of appointment of new twsttes r&4tswith the founding member of the charity. Geoffiry Davie8.
REFERENCE AND ADMll%lSTIiATIVE DET AILS
Registerod Compllny number
11032807 (Bngland and Wslesl
RegistÈred Chxrity Dumb¢r
1176477
Pagt I

KIRWIN DAVIES FOUNDATION OiEGISTERED NUMBER: 110328071
REPORT OF THE TRUStELS
FOR THE YEAR ENDRD 31 TrL4RCH 2025
Registered oltlct
Hintock Hollow
High¢rBlandfoTd Road
Shatsbury
Dotset
SP7 8DA
TrusÈee5
Ms L S Kirwn (de￿aSed 20.7241
G R DaNies
Fvf5 H T Easb¥ood
A P Forster
Pyfrs C F Mander lappDinled l4,10.24)
ljjdepettdellt Exgminer
chr￿topher H Jatratt BA(Hon81 BFP FCA
Andrews and Palmer
Charteted ACcoUn￿ts
32 The Squarc
Gillingham
Dorset
SP8 4AR
Bankers
C. Hoare & Co.
This report ha5 been pr¢pared in accordance with the Special provisioDS of Part 15 of the Companies A¢t 2006 ttlating
to Small companies.
Approved by orderof the b)anl oftru5tses on 8 Dec¢tnbv20?5 and signed on it8 behalfby..
QRDaw
Page 2

tNDEPENDENT EXAMINER'S REPORT TO THE TRUS'fEES OF
KIRWIY DAVIES FOUThDATION
lttdtpeudent examiner's report to the trustees of KiTWill Da￿¢$ fr'oundatlou {'thE CompaDy')
I report to the chwiry trustess on my exxminatiox] of the accounts of tht Company fvrtheye2r ended 31 MarGh 2025.
Responsibilities and b#sis of report
A5 the chJrity'5 Irusi¢es of the CompaTJy (and oiso its directots for the purp05e5 of company law) you are Nsponsiblr for
the PTewdration of the accounts in accordanc¢ with the re9￿￿ements of the Companies Act20061'the2006 A¢i'l.
Having satisfiEd myself that the a¢counts of the Company are not required to Ec alldited under Part 16 of the 2006 Act
and are eligible foT indepertd¢nt examination, L report in respect of my examination of your chall￿5 accounts as ca￿led
out under Section 145 of the Chanties Act 2011 lyhe 2011 ACYI. In out my ex9mination I h&v¢ follow¢d the
Dirtdions giv¢D by the ChaTity Commission wider S¢¢tion 14515} Ibl ofth¢ 201 I
Independent examiller's ststerllent
I bave completed my Examinalloll. I confiTh th21 no nmtters hav¢ come to my 3tterrtiOn ill ¢OllnectlOD with the
examijation giving MB ca￿£ to believe..
accounting records were not kept in resP¢Gt of the Comp¥tsy as requiredby Section 386 ofthe 2(H)6 ACL or
tlie accounts do not acGDrd with those records,. or
the awounts do not comply Mth the accounting requir¢ments of Section 396 of the 2006 Act othcr than any
requirement that th¢ aG¢ounts give a trlle gnd fair view which is not a mattcr Gon5id¢rd ￿ part of an independent
examinalioTI; or
th¢ ￿OUnts hxve not b¢Bn prepared in acc4)rdance with the methodg and principles of the State[n￿t of
Re£ommended Pr&¢tice for accourttlDg 8nd Teporting by Gh&riti¢s (applicable to charities preparing their a¢couDts
in accordance with the Financial ReportlDg Standard applicable sn thc UK 8nd Republic of Ir¢land IFRS 10211.
I have no Gonc¢ms and have cvme across no other matters in connection with the examinauon to which #ttention should
be drxwn in this report in orderto ￿&b]e &proper understanding of th¢ acGountsto k reached.
ChristopherH Isffatt
The Inshtut¢ of Ciwt
ong1 Bfp FCA
A¢¢ountants in EDsl8nd attd Wales
Andrews and PalrneT
Chart¢red Acwuntants
32 The Square
Gillingham
DoF5¢t
SP8 4AR
8 D￿berIa25
Page 3

KIRWtN DAVJES FOUNDATION
STATEMEIYT OF FINANCIAL ACTlVtTIES
OFICORPOIUTING AN INCOME Ahl) EXFENDITURF ACCOUNT)
FOR THI YEAR ENDED 31 MARCH 202S
31.3.25
Unrestricted
fi)nd
31.3.24
fund5
Not
INCOME AND ENDOWMENTS FROM
54,144
25,000
Donations and le&act¢s
EXPENDtTURE ON
Cbaritable aftivities
GTants
24J12
29.812
980
545
292
30357
Totsl
28.852
15,3571
NET NCOMEI(EXPENDmJREI
RECONCILIATION OF FLWDS
Total ￿rtd5 brought forward
44.526
49,883
44.526
TOTAL FUNDS CAiUiSED FORWARD
73 J78
The llote5 forni p8rt of these financial ststements

KIRWN DAVIES FOUNDATION (REGISTERED NUMBER: IAO32807)
BALANCE SHEET
31 MARCH 2025
31.3.25
Unrestricted
Dd
Totsl
fl￿a$
Noies
CURRENT ASSETS
Cash at bank
73.978
45,LK16
CREDITORS
Amourtts falling du¢within oneyear
16001
(48Ql
73,378
44.526
NET CUIUiENT ASSETS
TOTAL ASSETS LESS CURRENT
LIABILITIES
73 J78
44,526
73,i78
44,526
NET ASSETS
73 J78
44,526
UnTestri¢#ed fvnds
73?78
44.526
TOTAL FUNDS
Th¢ chaTitabl¢ company is entitled to exemption from audit undeT Section 4T1 of the Comparti¢s Act 2006 for the yv8r
idcd 31 Marth 2025.
The mEmbeTS have not requ￿Ed the company to obtsin an kudit of its financial st￿ements for the year ¢nd¢d
31 Maroh 2025 in accordance with Sectiort 476 of the Companies Att 2006.
The trnstees arl(nowlEdge (heir Tesp)nsib1iili￿ for
la)
¢n5uring that the ¢hatit8blc cotnpany kw pccouftiin8 r¢cords that Comply with Sections 386 and 387 of the
Companies Act 2006 Jnd
preparing financial statetn¢ftts which 8ive a true and fwT view of the statt of affairn of the tharitsble company as
at Ihc end of each financial year and of its swplus or deficit for each financi81 year in ￿COrdan￿ Wifh the
requir6Tnents of Sections 394 and 395 and whiGh otheNryse omply with the requiranents of the Companies Act
2006 relating to fin￿¢1￿ stsrern¢nt& so far applicable io the charitable comp?￿y.
Ibl
These finBncial statements have be6D prepar¢d ID acGordaDce with th¢ provisions appliG#bl¢ to ¢I￿table compatii
subject to the S￿￿] compni¢5 re&m¢.
The finan¢ial statsmertts were appTDved by the Board of Tn]stee8 attd auth0ri5ed for issue on 8 DeC￿ter 2025 and wert
sI￿¢d on its behalf by..
Q R Davies-
The notes form part of these fin&n¢id statements
PagE 5

KIRWIN DAVIES FOL￿ATIoN
OTES TO THE FINANC￿ STATEMENTS
FOR THE YEAR ENDED 31 ￿CH 2025
STATUTORY INFORMATION
Kiti¥in Davies Foundation is a charity, limited by guarantee. registe￿d ill England And Wales. The chtiriws
gistered llumber and regigtered offic¢ add￿58 c￿1 be found in the R¢port of th¢ Tn￿tt5.
The presentation Gwrency of the fiTJalltiai statements is the Pour￿ Sterling (£1.
ACCOUNTtNG POLICIES
Bgsis of pre￿ring the fiTrgncial $talen)ents
The financial statcmcllts of the chariiabl¢ ¢QTnpany, which is a public b¢Defit entity undcr FRS 102, have been
pr¢p8Ted in accordance with the Charitses SORP IFRS 1021 'AccDunting and ReportiniF by Chariti¢s.' sta￿ment
of R¢coTnrncnded Practice applicable to ¢harities preyaring theiT account5 in accordanet wtth the Financial
Reporting StsndaTd applicable in the UK and Repiiblic of Ireland IFRS IU21 l¢ff¢ciive l Jgnvary 2019).,
Fin8noiJ Reporting Standard 102 Yhe Financial Reporting Standard applicable in the UK and Republic of
I￿19nd, and the Compgnies Act 2006. The f￿￿￿Cial ststements have been wepaTed under th¢ histori£￿ cost
convention.
Ineome
A]1 income is r¢¢o8nised in th¢ Staternenl of f4inanci￿ AthNryties Once the charity h& entitlement to the fi￿d$, it
is ptobable that the illCOTne will be received and the 8mount can b¢ me&sured reliably.
Do#ation5 and any gsgociated t&x r￿laimab1e from HM Revenue & Customs are recognised when the Twst has
been notifjed in writing of both the amount and Settlement date.
Expenditsre
Liabilitie5 are recogllised exFndiiure 8s soon ag there is a legal or construcbve obligation ronunilling the
charity to that ¢xp¢nditurt, it is probable that a trgnsf¢r of ¢¢onomic benefits will be rquir￿ in settletnEllt and
fhe amoutrt of the obligation can be mwured reliably. Expen(bture Is ac¢outited for on all accTuuIs b￿15 and has
been classifi¢d under heading5 that aggr¢gat¢ all cost related to the otegory. ￿there costs cannot be directly
attribU￿d to pthiGular headings th¢y have been allocated to activities on & basis congiitent with the us¢ of
rtsouTceg.
Gtants offered subject to ¢ottditions which havc noi becn met at the Ye￿ end date Doted &% a ￿MmItment but
not aC￿U¢d a5 exp¢ndith.
Governaryce costs
Gov¢rnanc¢ costs include costs of the prepuation and examination of thDJtory accounts and administration of
the d12Tity. Gov¢rn8nce costs are allocatrd zs Other costs within the general ￿￿$tri¢trd fi￿d.
Taxation
e charity i% exempt from corpuration tLxon its ¢haritable P￿tivitieS.
Fulld Accounting
UnreStri¢t&l fury￿ can be used in aCco￿a￿tt with the chatitsble objectives at the discTetiOll ef the tryStees.
Restricted funds can only bc used for particular rcsiricied PUTposes within the obj¢¢ts of the charity. Restrictions
*ri*e when SPe￿fIed by thedonoror when funds are Aised forparLi¢ular restricted purposes.
Furth¢rexplanation ofthe naThJre and Purpose of each fund is included in the notBsto the fitLan¢ial stakments.
Fin4nci#l instrutnents
The charity only financial ass¢ts and financi￿ liabilities of a kind that qualify as basic fJnanGial insbuments.
Basic financi￿ instNm¢nts are initially recognised at transaction value Blld subsequently measured at their
s¢ttlem¢nt vaIue.
Page 6
continued...

KIRWIN DAVIES FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS- coThtinued
FOR TH& YEAR ENDED 31 MARCH 2025
ACCOUNTINC POLICILS- continuod
Debtors
Tiade and otherdebtors are recognised atthe settlement amount receivable. Prepayments are v8lu¢d 8t the
historic cost of the amount prepaid.
Cash at bank
Cssh at bank is defmed by the charity as fimds avaiiableto be used immediatety.
Creditorg
Cteditors and provisions ar¢ r¢wgniwi where the oharity prtsent obligation resUlt￿g from a p85t event
that will probably rcsult in ihc transfer of full(￿ to a third party and the amount due 10 settle the obligation catt be
M￿su[CO reliably.
CRANTS PAYABLE
31.3
31J.24
Grants
24,312
29.812
Dir¢ct charitable grdnts werE made to 3 (2Q24 - 31 dIffer￿t charitable voluntary instithtions. Th¢ grants
were made to the bodies named bclow'.-
31.3.25
31.3.24
H2Ttis Foundation
Medccins Sans Frontieres
Bre&st CancerNow
24,000
180
132
29,500
180
132
Total grRDts for yc£r
24,312
29.812
NET INCOMElffXPENDITUREI
Net incomellexpenditt￿eI is ststed afterchargin&llcrediting}.'
31.3.25
31.3.24
Indcp¢ndent ¢x¥mTners' f
IDdepcndent eX9mine￿ other se]vices
300
420
480
TRU8TEES' REMUNERATION AND BENEFITS
There were no nustees, r¢mun¢ration or other benefits for the year ended 31 March 2025 nor foT the year ended
Jl March 2024.
Trustees, t%p¢n5QS
There wetE no tn￿tee5. txpenses paid forthe yeaT ended )1 March 2025 nor for the year endd 31 Matth 2024.
PAge 7
coniinud...

RWIN DAVIES FOUNDATION
NOTES TO THE FINAN'CIAL STATEMENTS_ torttittlled
FOR THE YEAR ENDED 31 MARCH 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Ut)restricted
fund
INCOME AND ENDOWMENTS FROM
Donations and legacies
25,000
EXPENDITURE ON
C.haritsble activtties
Gtsnts
29,812
Other
545
Totsl
30,357
NET INCOMEIIEXPENDITURE)
(5,3571
RECONCILIATION OF FUNDS
Totsl funds brought forward
49,883
TOTAL FUNDS CARRIED FORWARD
44,526
CREDITORS.. AMOUNTS FALLING DUETrVITHtN ONE TrTAR
31.3.25
31.3.24
Accrued ￿penSeS
600
480
MOVEMENT IN FUNDS
Net
movement
funds
At
31J.25
At 1.4.24
Unrestrieted funds
General fitnd
44.526
28.852
73,378
TOTAL FUNDS
44.526
28.852
73,378
Nct movemcDt in funds. included in the above tte 88 follo￿..
Incoming
sourteg
Resources
expended
Movernenl
in fi]nds
Unrestri£t¢d fDnd$
Gtneral fund
54.144
1252921
28,852
TOTAL FUNDS
54,144
1252921
28,852
P￿e8
contittued...

K]RWtN DAVIES FOUNDATION
NOTE5 T() THL VSNANCIAL STATEMENTS. contiDued
FOR THE YEAR ENDED 31 MARCH 2025
MOVEMENT IN FUNDS- CODtinued
Comparitives for movement in funds
Nel
movemeni
in funds
At
31.3.24
Ai 1.4.23
Unrestricted fullds
Gen¢tal fund
49,883
153571
44,526
TOTAL FUNDS
49,883
15.3571
44,526
Comparnttv¢ net movemettt th fvnds. included in the above ate as follows."
Incoming
resources
ResouTG¢5
expend¢d
Movement
in funds
Unrestritted funds
fund
25,000
(30J571
15,3571
TOTAL FUNDS
.000
(30J571
15,3571
A cU￿entyCar 12 months and prior year 12 months oornbined position is ￿ follows..
Net
moven]ent
in funds
At
31.325
At 1.4.23
Unrestrieted furjds
Genernl fund
49,883
23,495
73,378
TOTAL FUNDS
49.883
73,378
A current year 12 tnonths and prior year 12 Gombincd net movement in funds. incluikd in the above a
as follows..
In¢omiDg
resour¢¢s
Resourc&8
expended
Movement
in fvnds
Unrestrirted funds
Genevdl fund
79.144
155,6491
23,495
T(YfAL FUNDS
79,144
155.6491
,495
General Fund- Tlus hndTepresenis income from donations, net of Bovem8llce costs and grants payable.
Pag¢ 9
continued...

KIRWIN DAVIES FOUNDATION
NOTES TO THE FINAiYCIAL STATEMENTS. fODtillued
FOR THE YEAR ENDED 31 T*L4RCH 2025
RELATED PARTY DISCIA)SURES
DuTing the year donauoDs were made by trustee5 to the Ghatity, G R Davi¢s donated £34550. These donations
were made without conditions and included in unT¢stri￿￿1 fvnds.
Page 10