Charity number.. 1177839
Company number.. 10845504
{England and Wales)
Givingforce Foundati¢
Report of the Trustees and Unaudited Financial Statements
For the year ended 30 November 2023
￿￿1)￿RF￿￿
A11
29108r2024
COMPANIES HOUSE

Givingforce Foundation
Conlents Page
For the year ended 30 November 2023
Report of Ihe Truste85
1 to3
h)d0wndoni Examin•ts R•KYJI lo Iho Trus*oS
sts1em￿I ol Pog
)tes to ¢he Fhanual Slatements .
7t011
12

Givingforce Foundation
Report of the Trustees
For the year ended 30 November 2023
The Tnote$. art *so diredols fr* lh• purrM)ses c4 c(Thpany law, h8ve pl8awJre in w858ntir*J th8x raport and the financial
staterronts for the charitawe company for the year erKled 30 Novernber 2023. The Twstee$ have adopted Ihe provisions of Accountiro
8nd Reporting by Charittes.. Ststement of Rett￿Mended Pwite apr4￿ble 10 ¢hariDes ￿paIN￿ Iheir a¢covnts in actordan¢e with
the Financmgl R*p¢yting Slonthrf apFlrAt* in th¢ UK and th8 Repubhc of IrdaTrJ IFRS 1021 (effective l j￿Uary 20191.
OBJECTIVES AND ACTivrries
The Chanty is governed ty its Art"c4es ofAssLXkgth)n ajcpted on 30 J￿8 2017.
The charity awn5, for the benefft to the eff¢*nty effetheness ol¢h8rf*s and the effecive use of charitab
resources in partscL￿ar bul Tr)t exdusNdy by the wowi5Fcffj ol a payroll gNiry ser¥￿e and ￿ prcmotion of charbtsble giwng and
volunleoring.
c*arfty also aims to adVa￿e such Ch8fftab￿ purF*)58s 85 the tnJ5tees sw fft frcffi lvne to by the provi5K>n of dO￿tK￿n$ arwj
other finanoal assi$tsn¢e.
BOARD OF TRUSTEES
The Charity rnay by ordinary resoluti￿ apw)int a per￿Tr w￿1 o to xt as a trustee either to fil a vacancy or as an additional
Irustee. The maxrnurn and minKnuffl number of tr￿lee$ shall be determined by the Charity, Un￿$$ and unbl so ft<ed there sh811 be
maxirnurn numberaTrJ Ihe numter oftru5te85 sham betr￿1.
Nw trustses %*ill ￿ given Indmdual ￿￿￿1r￿j w the dth¢ Chwity as Ihey are aFwnted.
1of12

Givingforc8 FoundatK)n
Report of the Trustees Continued
Fcrf the year ended 30 November 2023
ACHIEVEME14TS AND PERFORMANCE
The Charity faclitated the distribui*ffi oftyw £5.818.634 oltt)naibyts ￿ 2280 dwrths as a ￿$￿t91th9 Wthplace GI￿n9 S¢heme$ *
suppyjrts.
The Charity recorded £73.577 (2022: £88.4151 Joneraiod a dafwil01£2.67412022." tho Su￿$ 01£28.857j
RESERVES POUCY
The (*anty'$ resefves is to en* the+thwlty io Con￿nUe its Slart-￿ phase fwther fuThlr8i5NvJ. Th8 pc4icy continue to
bo rtrvwtsd ovor Iho ¢omin9 yoars.
PLANS FOR THE FufuRE
The trustees intend to o)ntiNe to gr￿ the Chanty 8% more employw8 swJn up to Worwxe GN¥¥J &tsm8S.
PUBLIC BENEFIT
The tru51ees have read rnirthl d the pubk¢ benèhl $t*erwts issue¢J by Ihe Chwity G)mrrWsS￿ and refw lo the guidance
when Considering aaiwles. The trus¢ee5 cortsidw Ihat th& put* l￿fil reqwwwt ampty mei by Virt￿ of the whye of
causes en8￿ed by the chari￿5 actNity.
GOVERNING DOCUMENT
The Charity v8 a charitable crmpany lirnrfed by guararrt88. incc¥p)Tai8d 30 JLm8 2017 and regn5tered as a charity on 6 April 2018.
The company was eslat4ishad un(J8r a Memorandum of Asx¢iakn e5tsNished the ot¥ecli¥es and p(￿r$ of the charity aTrJ
company arKtt i8 g￿rned under its Arbck88 ofAssOcia￿.
PRINCIPAL RISKS AND UNCERTAINYIES FAC*4G THE CHARITY
Tho k)110￿￿9 riths ba￿ ¢onsidemd by the IntstO•S
The charity receives finanual and adrnini8tr8tKffi svwort from Gr¥ryForce ￿n￿lett to erIa￿e il to coTrtiwe its 8Ctwits"es. The directcrfs of
GNingForte Linrted have confim)ed thaf ￿l£fib￿ to conbnL* to support ￿ tharty the h)resee*e
Tha In￿18&S regularfy r8¥ithv ts olher ftt8d ty th8 L*anty 8Th1 behave that Iher8 is a s8tisfacknry m￿gatiOn ol any Significant
rfsks.
STATEMENT ￿ TRUSTEES RESPONSIBILITIES
The Iruslee5 are respo￿l￿re for preparing tha Trustses. Repjrt and the finan￿1 slate￿￿nts in accudance vAlh applic8bla law 8Th
United Kin9dorn A￿￿ting Stsndards (UK Genevxlty k(*pied knuntry Practice).
ompany18w requires Ihe prepgre statements fin8ncr* ￿r. Uthr th81 lrttstees hwe e￿¢ted to
prepa￿ fin8n¢ial statwxenls in &tx)rd*Ke wilh Ui*ied Generalty A¢wted ACt￿n1•r￿j Iunited KiThJJom
Atwunting Standards applKtho lawl. Th& finawl sts¢emont$ ato r¢quimd to a INO fair vi0w of tho stst¢ ol
affai￿ of the charty and of the income, exPend￿re finwKsal 8Ctrwbes of the charty for Ihat penod. In prepariTrJ these fjnarrial
stalernents. tre twslees are required lo..
sdect su*atrAe a¢tounlMig poh"¢ies ltsn Ihem ¢¢rt)si%knUy.'
obseNe the m¢ttw)ds aThJ ￿'ple$ in Ihe chariltes SORP:
make ju¢9ements and eslimaw that a￿ wsonable
prepare ￿an￿oI ors the goin9 t¢sts unf¢8S it B inapwopriats lo pr?sW￿ Ihal th8 chanty %*1 ￿nb"n￿?
in busimos$.
20112

GNingforce Foundation
Report of the Trustees Continued
For the year ermled 30 November 2023
The trusteas are r85[￿n$t￿o for kewTrJ k¥oper tk¢4yJMlli9 re¢orf$ with reasonaNe atturacy at arby ts.rna the financial
F*)sition of lh8 charily and to enable Ihern to ensure Ihal the finwKi* Stalw￿￿ts comply Ihe knpanies AGt 2006. They are 8150
responslble for safegu8rthr¥J assets ol the chanty and hence for ta￿ng rea5cffjable steps for th& prevention and deie¢tion of fra￿j
and other irregularfes.
SMALL CIYAPAMY PROVISMY4S
This report has been prepared in ￿c(¥darKe 5petsal ¢WdVSiDn5 of P•1 15 ￿ the Compan*$ 2C#)6 ￿lating to small
canwanies.
REFERENCE AND ADIAINISTIIATIVE INFORMATION
t4am• of Charfty
Charlty r9glslTrtlon wmb•r
Company regbstratlon n￿ntser
Princlpal addre98
1177839
10845504
Lon¢Jon
W1T1aL
Trustees
The trustges and offKers swviry tluriry Ihe yeararn1 the >*arer*J wwe a$Wkiws'.
DavKI etyby
Mt Eiaz Ras
Mr NasrAlam
Secretary
Mrs Naswn RashTd
Indop•ndMt •xamln•
$￿an0 & Co LLP
36-38 Westbwme Grthe
SSH
Approved by thE 8oarf ol TNstees svjned i¥¥ rts behawty
Klr Èjat Rashid
TN$¢eo
23 Aug 2024
3of12

GNingforce Foundation
Inde￿ndent Examiners Re￿rt to ihe Trustees
For the year ended 30 November 2023
I report io tDJ5t885 w my Ihe acL*unls oft* Lknlat* CUTyany yewerthd 30 Novernber 2023.
R•$pon$lbllltl•s and ba￿$ of report
As the charity TNstee$. who a￿ also dir*tots for the w￿GeS of cLryaThy Lqw, are rew5th for Ihe of t￿ a¢uwnts In
aCCordar￿e wilh Ihe requirements ofts Compan* 2W6 IY* 2006 *Kri.
Having satIsf￿d myueif Ihyt the accwnts of the Compary Nuired io b8 a￿￿￿ted ￿￿er Part 16 01 the 2006 Ad and are olw'blè
for independant exartunation. I report in re5pecl of my •xaminaliM of y¢￿r charivs accounts carri8d out undor sectti)n 145 of th8
chartlies Aci 2011 1.the 2011 Acri. In carr￿ThJ my I Iks¥e folk)wed Iho [J"wtiC￿ gNen by Ihe Chanty Commlssic
under Secti￿ 1495llbl of the 2011 Act.
Independent 8xarnln•r8 quallfted 8tat•rnent
I confirm Ihot no olher mattets have lo my attent•￿ v•th the exan¥naliw wn9 ffle Gwse to beheve tw in ahy
material Osp￿..
1. a¢￿￿ntIl0 re¢ords were not kept in respect of Ih8 Compwy as required by seclv)n 386 of Ihe 2C(fj
2. th¢ atrounls not •¢o)rd *Yth thw reo)rds." Ly
3. the aceounts do not Comply the oquirements ol section 396 of the ZCt6 Act olher than any requirement Ihatthe aceounts glve
Irue and fair view. whith ￿ not a matteT ¢or6Klered as part of an independent ex8minatK•n', or
4. the accounts have not been prtpargj in xcordance th Ihe methods (yiwples ofthe Statement of Re¢c¥nrnended Practice for
ac￿n￿n9 and reporbng by charitses ap￿iCable to chants'es prepanng their HI a¢tx)rdance the Financial Rep)rbTrJ
S*andard apF4icat4e in th8 UK 8ThJ Re￿￿1C of Irelano IFRS 1021.
I conffim that there are Ot￿r matters w which ywr atten￿On shryhj be thawn lo enab18 8 woper uTh1erstwdin9 of th8 accounts to
bo reached.
8&LLP
Sloar* & Co LLP
3fv38 Westt)ouTh GrDVt
Newton Ro•J
W2 SSH
23 Aug 2024
4rf12

Givingforce Foundation
Slatement ol Financial Actiwties (including Income and E￿ndIture Account)
For the year ended 30 November 2023
UMestrlct•d
funds
2022
Incorn• and •ndo¥nTWIt8 from..
Don81ions and l0ga¢iOS
Ttstal
73.577
73,STT
88.435
88.435
Exp&ndftur• on..
Manag￿ent and
Totsl
176,2511
176,2511
158.7941
158.7941
N•¢ IncOm￿0￿nd*UTO
ReconcS1Satlon of fund8
Total funds brojghl forward
Totsl fisnds caNied fomard
12.6741
29.641
22,307
19,633
(1.3341
22,307
s￿12

Registered Number..
10845504
Givingforce Foundation
Statement of Financial Position
As at 30 November 2023
2023
2022
Flxod a$￿ts
Tangible a55ets
990
¢urr8nt asslts
14,496
478.413
492,909
1465.1131
25.667
374.087
399.754
1365.1971
Cash at bank and in hand
CreditOl¥.' 4m¢>unts falling within on* y••r
Net ¢urrtnt as8•ts
27.796
28.786
34.557
34.557
Totsl assets less current Ilobmtths
CredltOf5.' amounts falling due afterrnor* than yur
N*t 0ss•ts
19.1531
19.633
112.2501
22.307
Th8 tunds of the Chartty
Unrestrtied In￿n* ffijnds
12
19.633
19.833
22.307
22,307
Tot•1 fund$
For tha yoar ￿n￿￿ 30 Novambor 2023. the ¢omp8ny was to exempl￿ ￿dit uTrJ8r seckn 477 of the Companl8s Act
20f* ￿lalIng to >nll ¢ompan*s.
The rn8rnber5 hav8 Th)t required the COm￿Y to djtain an ol its aC£￿ts tho ye* in ques￿) in &r￿dance with se¢tlon 476,
The trustees aC￿n0￿8d98 their ¥eSpL￿tIll1￿ for comptyiThJ with Ihe rewirermnts of the kl wth resFect lo re¢ord$ ar￿1
Ihe prep8rat￿Tr of attO￿ts. Th8s8 ￿¢￿nIS haye b88n p￿ar￿ in xcaJrdarKe with the prow¥h?ns applicat4e to comparmes Subject to
Ihe small eompanies. regMn&.
The finanoal stst*m•nts apwoved and lor is** by the Board and its tehalfty.
Ir Ejaz Rashid
TDJ$te•
6of12

Givingfor¢e Foundalion
Notes to the Financial Statements
For the year ended 30 November 2023
1. A¢¢•untlng Polkl
B•s1s of x¢ountlng
The finanGial Statem￿1$ hove been prep*ed ￿der Ihe htsIC￿ cost convanl*Jn, except for investments *thich are Ind￿je￿ al
rnart(et value and Ihe revaluaiM)n of fixed assets and In alxthance Yhrylh the CharitEes SORP IFRS 1021 Accounliro and
Reporting by charit￿S.. Slateffjent ol Re¢omrnerKYed Pra¢w to charitses weparkng act¥Junts in accordanc8 With tha
Financ4al Reporting Slandwd apphc4bk8 in the VK aTrJ Re￿bI￿ of ITel￿d IFRS 1021 leffecbve 1 January 20191.. Financa81
Roporting Standard 102 the Finawal Reporb"r¥J Sland¥d wlKaL4e in th& UK and RepuNK of IreLand IFRS 1021, the
Compartes Act 21X)6.
Gtvingforce F￿ndalion meets the d8f1Th￿.oD of a pl￿1￿ benefft entity wderFRS 102. A55ets and liabililies ar• initsally rewgnised
8t histortol c4st or transact￿n ¥8lue u￿&$$ dher*is& slat8d in the rd8vant ac￿un*.n9 notelsl.
Th8 flnartial State￿nts are prepared in sterfirvJ, k5 ts 1￿c￿"0n￿ arnncy cl tho company. Mon8tary in these
st8temwts afe rwnded to the ￿arest ￿nd.
Golng CODcom
These finanThal ststerrtsnts are prepared on ihe c￿(eM basi$. The trl￿tseS have assessed ts thariws abllity to (x)nknnue as
going concem and have considertd p)ssible events w Cond￿"0n$ that mpJht cast S￿nificant doubt CMI the ability of the charity lo
continu¢ as a going ¢M¢8m. Th• tr￿slee$ hove made thi% asSessm￿t fora FeTh)d of al least one yaar from the dale ofthe
approval Of Ihe5e fiTranoal ststernents. Tr tharty has made 8 dEfitit forthe year of £2,674. nal assfrt of t19.633 and cash balance
of £478.413. The ¢nJ5tees evaluated impad on the chartty. In particdar the trustees have c¢)nsKlefed thè charty's forecasts and
proJeCtiC￿5, and belie¥v that the charty wil be abbp to ¢y)nih4ue Ns 4thibe5 bts lith)"e$ as theytsll due lor a period of at
18asl hv8l¥e monlhs from the date of approval of the financial 51alemenis.
Inc<xnlThJ rgsourc•s
The c*arity acts 85 an agent Co￿rdinating tho raising aThJ di5tr*¥JfrThJ oldcnatKffls Ivcffj eM￿oYeeS and gTnpbyer5 to eh8riDos. Tho
donatio￿ proce588d on behallof iTrJNiduaL5 3￿j ernpWer5 are I￿t recogni5ed in the Stsltywl of finoncial activitses.
AJI fee (tinations irKome Ls recowlsed Crf￿ethe ￿tyhaS enUmeM￿lo the IrK£ffj&, rt r6 probabk8 that th8 kncoTh will be
¢ewed and the arn¢wnt ofinm re¢eniatAe w bts mea>J￿d reliatity.
Adminlstratiye fee$ 8re recc*JnL8ed a(auaL8 ts￿.
CharIta￿a acti¥ttl•s
Expenditure is for cffl ￿ x(¥uafs t4sts and ￿ ￿￿U51¥e01VAT.
Charitat4e actsMI￿s inchjdes dona￿￿5 payaLle are charged in y•ar7*then offer is ¢txweyvJ 10 Iho recirxont, 4XL>pI
wher8 th8 offer i8 subiectto s￿h grants ￿ing r￿n￿d as a¥pendrturewh8n ￿ndi￿on8 are fUlf￿led.
As a charity. GiTr&illgForce FO￿￿¥b¢￿ ts exempt fvrm Ufiited Ktysyh Tax urmjerthe CNptyabon Tax Acl 2010
rnay recover income tsx d8dLKled its inveslment InCcff￿.
FSn8nclal in8tium•nl8
cash and cash etjrrivdknts indudo cash In hand I￿￿ts hekj at c¥1 barts.
08btors and credilor5 rec￿vable or payable wthn cne yearof the rBpJtho date are Ca￿led at thwtransacbon prKe.
Critical accounting estimats5 and areas of judwnonl
In tho viow oflhe Iw$iees in applww Ihe a¢c¢untitYJ Fdi(aes ath)rtsd. rohK$je￿ts requi￿ Ihat have o ¥grHfkant effe¢t on
the amounts recffjnised in the finan¢o1 nor ¢Jo •w estyfft*es t* assurnptw)fts made tary a si9Nificant rtsk ofrnatetsl
adjustment in the ￿xI finanod year.
70112

Givinglorce Foundation
Notes to the Financial Statements Continued
For the year ended 30 November 2023
Share Capl¢al
The chanty Is Imited ty guarnntee ar¥J 4*)es r￿t have ty share c•tal. ￿ kblity oflhe memt4rs 1$ linrted to the of
É10 pv meftknr.
2. Ineom• frorn dor**lons and legaclos
2023
2022
u￿￿trIct•d fvnd¥
Donaticfis recei¥ed
73.577
88,435
73,577
88,435
3. Exp•ndMur• on g•n•r•tkng a*)natb)ns •nd Wl•s
2023
2022
Unr•strlclqd lunds
Management and AdM￿l$tration
76,251
58,794
76.251
$8.7Y
An*sis ofsupport Cwts
2023
2022
Mana9ew¢ and Admv)istration
76,2S1
58,794
5. Net In¢•rn•1(gx￿ndl1uf•} for th¢ y¢av
Th￿ is slatsd after th￿l￿1￿*￿tINJ}'.
2023
2022
Accountancy I
Salaries
Pension contritrtjtions
2,640
5,582
28.667
860
1252}
907
4.471
IGainyLoss on fixeign turrwy tr8n￿atith)
8of12

Givingf(Yce Foundalion
Notes to the Financial Stslemenls Continued
For the year ended 30 November 2023
6. Staff costs and en￿1￿￿0￿9
Total 5tafl costs Iry the yearended 30 20fi *ve."
2023
2022
Salaries aThJ wages
soc￿1 security costs
P8n%¢￿ costs
34.090
1,739
SX)7
28.867
1,460
36,n6
30.907
7. Compvatlv• lor th• Statsm•nt ol Flnanclal AetMti•8
8. Tangible ￿ed •sstts
Comput•r
Equlpm•nt
Cost or ¥41uatlDn
Additions
1.048
1.048
AI 30 November2023
D•pr*tsation
Charge for year
At 20 Ntsvember 2023
N•t bo¢*
At 30 November 2023
9. D•btor8
2023
2022
Arnourrts du• wlthln on• y•ar.
Trada deblrxs
6,368
8.128
4,704
20.963
epayments and ar£r￿d
14,496
25,667
9of12

Givingforce Foundation
Notes to the Financial Statements Continued
For the year ended 30 November 2023
10. Cradltors: amounts foll1￿ thJ• witlmn on• y••r
2023
2022
Loans and overdrafts
1.5
1.500
Trada ueditors
0th8f cre(Itors
PAYE & 5wral 50trJrfty
charitab￿ dI5￿jrs8ff￿nts
3,992
456.601
2,640
1.629
359.068
3,000
A¢¢nJals deferred int¥JW¢
465,113
365.197
11. Credltors: amounts f4Wn9 th•th y•*
2023
2022
Loans aTrJ ovwdrafts
9,153
9.153
12,250
12.250
12. Uov•m•n¢ In fvnd¥
Unreslrt¢t8d Funda
8alanc8 at
0111212022
I￿ornIng
r•sourc•s
Out9olng
r•sourco8
3011112023
G6n•ral
Genera
73.5n
176.2511
19.633
22.J07
73,Sn
176.2511
19.633
tknr•strlct•d Funds. Pre¥lous y•ar
Bolance at
01112r4021
IKomSng
esourt•s
Out90in9
esources
3011112022
G¢n•rnl
General
17J34)
8a,43S
1$9.7941
22,307
17.334
81,435
158.794
21307
100112

Giwngfor¢e Foundation
Notes to Ihe Financial Ststements Continued
For the year ended 30 November 2023
13. Anatysls of not assets l>•lw••n fvnds
Tawlblo Il•t ￿rT•rt c￿￿19￿* > N*t A$s•ts
Ilx•d ass•ts
atssets I
on• year
Ilnr•strlcl*d lunds
. Gener81
Gener
27,796
19.1531
19,633
27.796
19.1531
19,633
Prgvlous year
Tatyibltr 14rf current Crndltorn > N•t A88•ts
fix¢d 4ssets
•ssetsi
ne year
(IlalMlill¢sl
Unrnstri¢t•d fvndl
Gernrnl
Gene
34.$57
112.2YJI
22,307
34,$57
112.2501
22.307
11 of12

GNingforce Foundation
Detailed Statement of Financial Acti￿lieS
For the year er)ded 30 November 2023
2023
2022
INCOME AND ENDOWMENr
Oonatk+ns and lègacles
DonaM)n$
73.577
88.435
73.577
Total Incomin9 rtstsur¢
SUPPORT COSTS
Governance c08ts
73.577
8.435
Mantyemeniantt
176.2511
158.7941
176,2511
{58,7941
Total r¢8ourc88 •xponded
176.Z51}
IS8.7￿)
N•1 Expenthture
12,6741
29.641
12of12
TNS pagg d088 Th)t lurn pwt of Ihe stabjw financ4al stai8m8nts