Trustees. Annuat Report
Independent Éxamir*s Rewrt
Statement of Financial Actl¥lties
2to3
Balance Sheet
Notes to the Auounts
7tolO
ststement of Cash fiows
DethI￿d Statementof FmncHI Acti¥l
12to13
Page I

Nadezda Foundatlon
T￿￿te8S Annual Report
The Trustees present thelr report with the ￿￿udited finanr4al statements ¢lthe tharfty forihe year ended
31 January 2021.
REFEREN￿ AND ADMINISTrATIVE DEfAILS
Charlty No. 1181798
Prfndpal Offlce
Appl
124-130 Seymour Place
London
WIH INS
Tnjstees
The followlng Trustees served during the year:
N. Abela
M. Eidelkind
T. Lewin
E. Moore
E. Shchukina
OBIEcfivES AND ACTNMES
The purpose of the charity are to relieve finantial hardship. to pre5errt and protect good health and to
advance education of chlldren and young people with disabilities in Russia and the UK. To resource of advice.
aSSFstsncÈ and programmes of artisti4 educational and otherdetsplopment actlvitres for children ènd young
people to= lal enable them to participate in the society as independenL Matu￿ ènd responsible Individual%
(bl advance children education; and Icl provide recreational activities in the Interests of soclal wlth a vlewto
impmving the conditions of life.
The trustees confirni that the Charity has complied with its duty in sertion 17 of the CharitiesAct 2011 to
have due regard to publtc benefit 8uidan¢e publlshed lry the Charities Commission Y*A￿￿ revlewlng its a5ms
and objertives and In plannlngfirture actFvittes.
The following activities took place in the pastyear: £7.5￿went to the Russlan foundatlon Nadezda for thelr
ongoing support of sick children in Tver. Russla. £25.500 purthase of ou¢door rehabllltation equlpment for
children who study atAshton schools. £3,IXKI wentto Sunshlne wlshes to help grant wishes and supplv
essent5al items to young people who have a severe or Ilffrshortenlng illness. a mental or physical disability.
who c)me from familles struggling on a meagre income. £400 was spent on the purthase of an inflatable hot
tub spa forTaussig Family to support their both sons who suffering from Duchenne syndrome. El.300 went
to Homellnk Famlly to support parents to provide a stsble nurturing home for young thlldren wlth Art
therapy. £2.(IJO went to Edinburgh Young ￿ and the 8rdnt was used for arrnngln8 therapeutic sessionsfor
children. £2.500 went to Lothian Autlstic to run the educational and recreational programs for children and
young people, many of whom are autistic. Finally, £SOOO went to Kids Nation for holiday playscheme for
children and young people aged >16 years.. All beneficiaries are from BAME communities in Hackney and
are disadvantaBed by poverty. poor hou$in8 and lack of basic facilities.
Pa8e 2

14adezda Foundatlon
Trustees Aftnual Report
HIIANCIAL REVIEW
Durlng the year. the Foundatlon rwfved Income from donations. In 202012021 the total received was
£12.129.80.The sum of £47.199.98 was expended on charitsble artl¥ities duringthe year.
STRUCTURI GOVERNANCE AND MANAGEMENT
The Charity is a Charitable Incorporated Or2anisatfon(ClO).
Every trustee must be appolnted for a term of three years by a resolutlon passed at a pmperly convened
meetinB of the chartty trustees. In selecting indivlduals for appointment as charity trustees. the charity
trustees rn[￿1 have regard to tt)e skllls. knowledge and experien¢e needed forthe effective administratlon ot
the ao.
Statemert of truS￿e5, responthllllles In relatlon to the Ilnandal statements
The charity trustees are responsible for preparing a trustees. annual report and financial statements in
accordance wlth appllcable law and Unlted Kln8dom Accountlng Stsndards Iunlted Kln8dom GeneraNv
Accepted AccoUn￿n$ Practlcel.
The Trustees are responsible forkeepin8 proper accounti￿ record5 that dlsdose vthh reasonable accuracy at
any time the financial position of the Charlty and to enable them to ensure that the financial statements
Comp￿ vthh the Charities Act 2011, the èppllcable Charities (Accounts and Reports) Regulations. and the
provlslons of the Trust deed. TheTru5tees are also responslble for ￿feguardIng the assets of the charity and
hence ta￿ng ￿4$onable steps for the preventlon and detection of fraud al￿ other irregularlties.
Signed on behalf of the dmfiws trustees
N. Abela
Trustee
30 November 2021
Page 3

Type text here 


Tony Castagnetti Chartered Accountant Belluzzo Audit Limited 38 Craven Street London WC2N 5NG 1 December 2021 



Nadezda Foundatlon
Statemert of Finandal Artl¥ltles
for the year end•d 31 Jan￿ry 2¢r21
Unrestrlcte
d fvnds Totsl ￿ndS Total
2021
Notss
In¢ome and endovb¥n¢nts
Donations and le8acles
12.130
12.130
146.766
Totsl
12.130
146.766
Expendlture on:
Ralsln8 fvnds
Chadtsble actlvltles
OtPrer
149
47.200
1.125
149
47.200
1.125
14.810
72,013
570
Tot•1
48,474
48,474
87.393
Net 8alns on Investments
N•t l•xpendlture)IlnuMn•
Transfers between funds
1363441
(36.344)
59.373
Net lexp•ndlwr•llln(ObM
b¢fprn otherq•lnsl{losses)
136.344>
136.344)
59,373
Oth•r plns •nd los*•s
136.344)
156.3441
59,373
Racondll￿On of funds:
Totsl funds brought fopward
59.373
59,373
T¢MI fvfftds c4rflod forward
23,029
23.029
59.373
Page S

Nadezda Foundatlon
Balaft¢eSheet
at YI January 2021
Charlty 1181798
2021
Cash at bank and In hand
23.029
23.029
23.029
59.373
59.373
59.373
59.373
Net¢urrent assets
Total assets less curreni [￿bIlItIes
23.029
Net assets excludlng penslon assetor Ilabn
Total net assets
23.029
59.373
23.029
59.373
The fund$ of the charlty
Restrlctedfunds
Unrestrirted funds
General funds
23,029
59.373
23,029
59.373
Total
23.029
S9,373
Approved bythe trustees on 30 November 2021
And signed on thelr behalf by.
N. Abela
Trustee
30 November 2021
Pa8e 6

Naduda F¢)undatlon
Notes tothe A¢¢￿nts
for the year eftded 31 J4nuJry 2021
l Accountlng polkles
B•51s of preparatlon
The flnon¢lal statements have t￿en prepared in aCCordaft￿ with Stalement of Ilecommended Practice:
Accounting and Reporttng by Charities preparing their accounts In accordance Wbth the Financlal
Reporting Standard applicable in the UK and Republlc if Ireland IFRS 1021 Issued on 16 July 2014 and the
Financial Reportin8 Standard applicable in the United Kingdom and Republic of Ireland (FRS 102} and the
Charltles Act 2011.
Chan8e In basls ot accountlngorto wevlous accounts
There has been no change to the accounting pollcies Ivaluatfjon rules and method of Jccountln8151nce
last year and no thanges have been made to accounts for prevlous years.
Fund attountl
Unrestrlcted furnls These are avallable for use at the dlscretlon of the trustees In furtherance of the
general objects of the charfty.
These are unrestrlcted funds earmarked bythe trustees for partEcular purposes.
These are unrestricted funds whlch Include a revalu*ion ￿Se￿Ie representing the
restatement of Investment assets at thelr marketvalues.
These are available for use subjÈcl to restrittions imposed by the donor or thrtrJ8h
temis of an appeal.
Desl8nated funds
Revaluatlon fvnd5
Restrlcted funds
Income
Reco8nltlon of
Income
Incomels Included In the Statement of Flnanclal Actlvltles ISOFAI when the charlty
becomes entltled to. and v5rtually certaln to fecelve. the income and the amount of
the Income can be measured wlth sufficlent reliablllty.
Income wlth related Where Income has reljted expendlture the Income and related expendlture Is
expenditure
reported gross In the SOFA.
Donatlons and
le8acles
Voluntary In￿me recebved by way of 8rants. don1￿On5 and glfts Is Included In the
the SOFA when recelvable and only when the Charlty ha5 uncondltlonal
entltlement to the Income.
TJX redalms on
Income from tax reclalms is Induded In the SOFA at the sarne time as the
donatlons and glfts 8lftldonBtlon to whlch It relate5.
l)onated ser¥lces
These are onfy included in Income (with an equivalent amount lfi expenditure)
ond facllltles
where the benefit to the Charity is reasonably quantifiable. measurable and
material.
Volunteer help
The value of any ¥olunteer help recelved Is not Included In the accounts.
Investment Income Thls Is Induded In the accounts when recelvable.
Galnslllossesl on
Thls Includes any 8aln or Iu55 resultln8 from revaluln8 Investments to market wdlue
revaluatlon of fixed at the end of the year.
assets
Gain￿[lo$se$l on
Investment a￿ets
Thls Includes any 8aln or loss on the sale of Investments.
Page 7

Notesto tt* Accounts
E¥penditure
ReC(￿lt10n of Expenditure ￿ reco8ni5ed on an accrua15 basik ExpeThJitwe indudes any VATwhith
expendrture
cannot be fulty rem¥Yed. and Is rep(¥ted as p•t ofthe exwdlture to whlth It
relates.
Expenditure on
ralsingfunds
ExpenditLrre on
These c¢mprisethe costs 4Kurred Iwthe tharlty in the delivery of its activities ar*d
tharitsble acmies ser¥i¢es in the fvrthernnce of its obied% iKKlurfin8 tt* making of8rants and
Grants paydble
All grant expenthtwe is ￿lUnted for an ackn￿1 Pa￿ basi5 ￿￿$ an accrual for
grants that have been apwo¥ed by the t￿￿tee5 at the end ofthe par ixrt not yet
paid.
requirements of the Charity. indvdin8 any audi￿1ndependent examination fees,
costs linkedto the slrategx managenwrt ofthe Charity. togethw wlth a share of
otheradministiation costs.
Taxatlon
The tharity is exeryt from tsx on its th4ritsble acll
fund5 Total fund5
Donation5 and le8acies
Total
146.766
146.766
146.766
146,766
E¥peftdityre w:
Raising funds
Charitable actI￿t*S
I4￿10
71Q13
$70
14.810
n.013
570
Totsl
87.393
87.393
Net Income
59.373
59,373
gaW(kbsse51
59373
59.373
59.373
59.373
RecorAdllatlon of fund&.
Total funds ¢anled fornwd
59.373
59.373
Page 8

Nadezda Foundatlon
Notesto the Accounts
3 Income from doDathns and le8xles
Totsl
20
Totsl
2020
12.130
12,130
12.130
12.130
146.766
146.766
4 Expendthire on ralslthg furtds
Unrnstrf¢ted
T¢tsl
Totsl
2￿1
Costs of qenemtlng voluntary
149
149
14AIO
14.810
149
149
5 Expendlture on tharitable a¢tiTthies
Total
Totsl
2021
2020
Expenditure on charitable
Grants made
47.2
47.2(N)
72.ots
Govern¢ince costs
47,21JO
47,2LiI
72,013
6 Analysls of 8rants
Grants to
Grants to
Support
Actlvlty or pro8ramme
Instltutlons
Indhidtsals
Totsl
2021
Totsl
East Anglia's Children's
Hospices
'Nadeida"
25,000
7.500
31.000
5.760
5.787
Blue Sky Autism
Flfe Young Carers SCIO
Ashton School
25,500
Sunshlne Wlshes
Klara Ta¥Jssig
Home Link Famlly
Edinburgh Young CA
Lothian Autistic
1.300
1.300
2.500
46,800
47.200
72.013
Page 9

Nadeth Fowd*lon
Note5 to t￿ Accounts
7 Other expendltur•
Total
2021
Tot41
Motor and trnvel costs
General admlnistrative costs
259
259
866
866
570
1.125
1.125
570
8 Stafl costs
No employee recelved emoluments in excess of £60.000.
9 Mo¥ernent In fvnds
Incomln8
Jur
Ilndudlni
Atl
other
February DI￿￿55e5
At31
Jan￿ry
Z021
expended
R•strlctsd lunds:
unte5tllct￿ fundk"
Gener•1 funds
59.373
11130
(48,4741
23,029
Re¥alu•tlon ReservK;
Totsl funds
10 Analysls of n•¢ •ss•ts b•M¢n fuftds
59.373
11130
{48.4741
23.029
Unrestrl¢ted
fvnds
Tot•1
Net current assets
23.029
23.029
23.029
23.029
11 R•con¢lll•tlon of rMt debt
All
F•brnary
Aljl
January
2021
Cash flows
Cash and cash equivalents
59.373
59,373
136.3441
136,344)
23.029
23,029
Net debt
59.373
(36.3441
23.029
Page 10

adezth Foundatlon
Staten)ent ol Cash Ilows
fortheyear ended 31January 2021
2021
Cash flows frnm operatlng aclivltl
Net (empendlturellincome per Statemertof ￿￿￿￿<1<1 ¥￿tIvitIeS
136.3441
59,373
Net tash lused Inllpro¥lded by operalln8 actlvltles
136.344)
59,373
Net cash from Investlng actlvlties
Net ¢a5h from flnandng actfvhles
Plet {decreaselllncrease in £a5h aftd cash equivalerts
{36344)
59.373
Cash and cash equI￿lents atthe be81M￿ni olthe year
59,373
Cash and ¢ash equlwJlents at the end ol th• year
23.029
59.373
Components of cash and cash equlvalents
Cash and bank balance5
23.029
59.373
23.029
59,373
Page 11

Net movement In fvnds
(36.3441
(36.344)
59.373
RKondU•tlon offvrnl%'
Totalfvnds brou8ht forward
59373
59373
Totsl fund5 Carr1￿ forward
23.029
23.029
59.373

Deialled Slatement of Flnandal Ath¥lll
forthe eJKled 31 Jarn4ry 2021
funds Tatsl T•xal furtds
Donatlons and leaacles
130
12.130
12.130
146.766
146.766
12,130
12.130
12.130
146.766
Ewdltyr• on..
Costs OfgeneratI￿ donatlon5 and
le8acies
149
149
14.810
14.810
149
149
Tot•1 of empendllwe ratsl
funds
149
149
14AIO
Charltable artlvl
Grnnts made
47.200
472lX)
47.200
47.200
72.013
72x113
Totsl of •wthdltsrn on dHrft
artlTthles
472LKI
47.200
72,013
Motor and trn¥el costs
Travd and sub51stence
259
259
259
259
General admlnlstrative costs.
Indudln8 depredatk>n and
•mortbsatlon
Bank charyes
Software. IT support and related
costs
Ic
$60
263
Statfj￿ery and prlntlng
Sub5crlptlons
117
90
570
570
216
216
Total ¢)lexpendltw• of Ibth•rto#s
Totsl expendlturn
Net gains on investments
1.125
1.125
474
48.474
87393
136344)
136.3441
59.373
Net lexp•Thlltyre)llnctyne I
other￿￿5/(11)5se5)
Other Galns
(36.3441
136.344)
59.373
Page 12