VOIJNDATION
TRUSTEES REPORT AND ACCOUNTS
2024
Kaxton Advisory
TRIO BRIDGE FOUNDATION
45 RAGLAN AVENUE
WALTHAM CROSS
HERTFOROSHIRE
EN8 8DA

THE TRIO BRIDGE FOUNDATION
REPORT OF THE TRUSTEES FOR THE YEAR ENDED 31- DECEMBER 2024.
The trustees of the charity hereby present their report alongside the
f inancial statements for the year ending 315l December 2024. The trustees
have adhered to the provisions outlined in the Statement of Recommended
Practice ISORPI 'Accounting and Reporting by Charities,, issued in March
2005.
REFERENCE AND ADMINISTRATIVE DEfAIL&"
Registered Charity Number:
1180282
Reglstered Off Ice:
45 Raglan Avenue
Waltham Cross
Hertfordshire
EN88DA
Trustees:
Dr Bright Kwame Asante Gyampoh
George Noi-Lartey
Karen Bi Ill ngton
Rose Kwarteng
Trustee
Trustee
Trustee
Trustee
Independent Examiners:
Kaxton Advisory Ltd
Suite 6
The Generator Business Centre
Surrey
CR4 3FH
Bankers:
Barclays Bank
43 High Street
Sutton
SMI IDFI
Page I

STRucfuRE, GOVERNANCE AND MANAGEMENT:
Governance
The charity is governed by a constitution as defined by the Charities Act 2011.
Membership of the trustee board
The charity's trustees, who are also voluntary under charity law, are referred
to as members of the Trustees Board in the charity's Constitution.
Induction and training of trustees
All trustees are familiar with the practical work of the charity and have
undertaken training to support their role.
Organizational structure
The Trustee Board meets quarterly, and a quarterly branch feedback report
is given at each meeting. The Trustees have the responsibility for the day-
to-day operational management of the charity.
Rlsk Management
TheTrustees are required to identify and review the risksto which the charity
is exposed, ensuring that appropriate controls are in place to provide
reasonable assurance against fraud and error.
Internal control risks are minimized by implementing procedures for the
authorization of all transactions and projects.
Procedures and risk
assessments are also in place to ensure compliance with Health and Safety
regulations for volunteers, members, children, and visitors to the church.
OBJECTIVES AND ACTIVITIES"
The TRIO Bridge Foundation enhances maternal and fetal health through
simulation training and targeted education. Using research and evidence-
based guidance, we train doctors and nurses to improve outcomes for
mothers and babies, focusing on prevention and intervention to relieve
sickness.
These objectives are achieved in collaboration with health and social care
stakeholders who aim to develop and maintain skills and knowledge for
medical professionals. This approach helps them utilize and sustain training
programs for their benef it and that of the population they serve.
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The organization also functions as a social enterprise dedicated to
promoting a holistic and evidence-based approach to healthcare provision
in developing countries.
FINANCIAL REVIEW:
Church Finon¢e&'
Thefinance committee oversawthe financial planning throughout the year.
The charity successfully raised £200 through donations.
The total
expenditure for the charity amounted to £3,535 resulting in a deficit of
£3,335.
The public is encouraged to donate generously so that the charity can meet
its objectives.
STATEMENT OF TRUSTEE RESPONSIBILITIES
The trustees are tasked with preparing the financial statements in
compliance with relevant laws and United Kingdom Generally Accepted
Accounting Practice (UK GA4PI.
Under charity law, trustees are mandated to prepare financial statements
for each f iscal year. In accordance with this requirement, trustees have
chosen to preparethese financial statementsfollowing the United Kingdom
Generally Accepted Accounting Practice (UK GAAPI. which includes United
Kingdom Accounting Standards and applicable legislation. The financial
statements must legally present a true and fair view of the charitable
company's financial position and its surplus or deficit for the specified
period. In fulf i Ill ng this obligation. trustees are required to..
Select suitable accounting policies and then apply them consistently.
Make judgments and estimates that are reasonable and prudent.
Prepare f inancial statements assuming the charitable company will
continue operating. unless this is unlikely.
Trustees must keep accurate accounting records to show the charity's
f inancial position and ensure compliance wiLh the Charities Act 2011. They
are also responsible for safeguarding assets and preventing f raud and other
i rregu la rities.
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STATEMENT AS TO DISCLOSURE OF INFORMATION TO INDEPENDENT
EXAMINERS:
Sofar asthetrustees are aware, there is no relevant information aboutwhich
the charity's independent examiners are unaware, and each trustee has
taken all the steps that they ought to have taken as a trustee to make them
aware of any examination information and to establish that the charity s
independent examiners are aware of that information.
INDEPENDENT EXAMINERS
The independent examiners, Kaxion Advisory Ltd., will be proposed for re-
appointment at the forthcoming Annual General Meeting.
On behalf of the Trustees Board:
George Noi-Lartey
6tn October, 2025
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INDEPENDENT EXAMINER'S REPORT TO THE TRUSTEES OF THE TRIO
BRIDGE FOUNDATION
I report on the accounts of Trio Bridge Foundation for the year ended 31" December, 2024
which comprise the Statement of Financial Aciivities. the Balance Sheet and relaied notes set
out on Pdges 8 to 12
This report is made solely to the Trustee5 Board in accordance with Section 145 of the
Chariiics Aci 2011. My work has beLn undcnakLn so ihai I mighi siaic to the charity's
trust¢¢s thos¢ matt¢rs l am rcquircd to stato to them in an Indepcndcnt Examincr's r¢port and
for no oihcr purpose. To the fullest cxlcnt pcrmitled by laiv. I do not aeLcpt or assume
responsibiliiy to anyone oiher ihan the Chariry and the Charity t￿sleeS for my examination
work.
Respective responsibilitie5 of Trustee5 and Exgminer
The Charity trustees are responsible for Ihe preparaiion of the accounis. They consider that an
audit is not required for this year (under Section 144 of the Charities Act 201 I (the Chariti¢s
Act)} and ihai an indcpendcni cxaminaiion is nccdcd.
It is my re%poi)%ibilily to:
Examinc ihc accounts {undcr Scciion 145 of thc Charities Act);
To follow the proccdurcs laid down in ihc Gcncral Dircclions given by Ihe Charity
Commi%sioner (under Section 145{51(b) ofthe Charities Aci): ai)d
To ￿tate wheiher Pilrticuldir matlepi have come to my altention.
Basls of Independent Examlner's report
My cxaminaiion was carricd out in accordancc with ihc Gcncral Dircctions givcn by thc
Charity Commissioner.
An examination includes a reN'iew ofihe accounling records kept by the Charily and a
comparison of the accounts presented ivith th0￿ records. It also includes considcrati(Trn of any
unubual ilcms or disclosurcs in thc accounts, and sceking cxplanations from you as trustces
con¥erning any such matters.
The procedures undertaken do not provide all the evidence Ihal ￿'QUId be required in an audit,
and consequently no opinion is given as to whcthcr the accounts prcsent a 'truc and fair, I'icw
and the report is limited to those matters sel out in the sthtement below.

Independent Examiner's Statement
In CO[￿ectIon with my examination. no mailer has come io my aiiention:
l. Which gives me reasonable cause to believe that in any material respect the requiremenls
to keep accounting records in accordance ￿'11h Section 130 of the Charilies Act; and
lo prepare accounls which accord w'ith the accounting records and comply with the
accounting requirements of the Charities Aci have noi been met; or
2. to which, in my opinion. attenlion should be drdMTr to enable a proper understanding ofihe
acLounts to be reached.
EMMANUF.L ASHILF.Y. Msc.
KAXTOiY ADVISORY LTD
ui'rE 4
THF. GENEKATOR BUSINESS CENTRE
.SIIRRF.Y
CII4 3FH
Kaxton Advlsory

TRIO BRIDGE FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31ST DECEMBER 2024
2024
2023
General Restrlcted
Funds
Funds
Total
Total
Note
INCOMING RESOURCES
Voluntary Income
200
200
5.760
Total
200
200
5,760
RESOURCES EXPENDED
Charltable Expendlture..
Administratlon & Management
Total
3,535
3,535
3,535
3,535
5,134
5,134
NET INCOMING RESOURCES
13,3351
13,3351
626
Movementln Funds
Nel Incomlng Resources
Balance brought forward
Transfers IReseNel
BALANCE CARRIED FORWARD
{3.3351
4,312
13,3351
4,312
626
3,686
977
977
4,312
| PAGE7

TRIO BRIDGE FOUNDATION
BALANCE SHEET AS AT 31ST DECEMBER 2024
2024
2023
Note
Current Assets
Bank (Barclays)
1,874
4,910
1,874
4.910
Creditors.. Amount falling due within 1 year
897
598
Nel Current Assets
977
4.312
Nel Assels
977
4,312
Funds
General
977
4312
977
4,312
Approved by the Board Council on
..0611112025....... And signed on Its behalf by
Ichalrmanl
l Treasurer)
Dr Bright KwameAsante Gyampoh
George Noi-Lartey
IPAGE8

IYOTES TO THE FINANCIAL STATE.MEI%TS=
I. ACCOUNTING POLICIES
Th¢ financial slalemenls have been pr¢par¢d in accordance with applicable accounting
standards and the Charili¢s SORP.
Basis of Accounting:
Th¢ financial statem¢nts have be¢n prepar￿ under the hisiorical cost conventioi) except
for the valuation of investmeni asseis. which are show al market value. The tinaiicial
slalemenls include all iransaciions, ass¢is and liabiliiies for which the Church Coui)cil is
responsible in law. They do not include the accounts of church groups that owe their main
a￿lIlatIOn lo another body nor those thal are infornial gatherings of church meinbers.
Incoming Resources:
All incoming resources are included in the stalemenl of financial aciiviiies when the charily
is enliiled lo the income and Ihe amouni can be quantified wilh reasonable accuracy. The
following speci fic policies are applied io particular categories of income.
Voluntary Income is received by way of granis. donations and gifts and is included in full
in the statement of financial acliviiies when receivable. Grants where enliilemei)i is not
conditional on the delivery of specific performance by the charity are recogiiized when the
chariiy bccomcs uncondiiionally cnliiled 10 ihc grant.
Donated services and facilities are incliided al the value to the charity where this can be
quantified. The value of service5 provided by volunteers has not been included.
Gifts donated for resale are included as incoming) resources within the activities for
Teneralingy fund5 when they are sold.
Inlome from investment is included in the year in which it is receivable.
Resources Expended:
Expenditure is recogmized on the accrual basi5 a5 a liability ib incurred. Expenditure
in¢lud¢d any VAT which cannot be fiilly recuvered. and is repvrted as part vf the
expenditure lo whi¢h it relates.
Cvs15 of bJeneraling, funds Comprise the costs associated with attra¢tingF voluntary income
and costs of tradin¥ for fundraisin¥ purposes including the charity's shop.
Charitable expenditure comprises of those costs incurred by the charity in the delivery of
its activities and Services for it5 beneficiaries. It includes both cotsts that can be allDcat¢d
direltly to such activities and those c05t5 of an indire¢t nature necetssary to support them.
Support costs ar¢ thos¢ costs incurr¢d in support of ¢xp¢nditure on the obj¢cts of the charity
and include project management.
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TRIO BRIDGE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS - 31ST DECEMBER. 2024
2. INCOMING RESOURCES
2024
General
Funds
2024
Total
Funds
2023
Total
Funds
Ghana Nurses Association
Other
200
200
200
200
5,760
5,760
TOTAL
200
200
5,760
I PAGE 10

TRIO BRIDGE FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS - 31ST DECEMBER, 2024
3. RESOURCES EXPENDED:
2024
2023
IAan3gement &
Admin
Managernenl &
Admin
Freight
Internet
Stationery
Accountancy fee
Social Activities
Donation
247
114
299
147
902
299
2,875
3,787
3,535 £ 5,133.73
I PAGE 11