Nadeth Foundatson
Pa8e5
2to3
Tnx5teÈs' Annual Report
ststÈmÈnt of Flnandal Attlvltles
8alanceSheet
ststement ofcash flows
li
Notes to theAccounts
6tolO
l)etsiled Statementof Flnanclal Artwitie5
12to13
Page I

The trustees present t￿￿1r report wlth the unaudited financ+al statements ofthe tharityfor the year ended
31 January 2024.
REFEREN￿ AND ADMINISIRATrVE DETAIIS
awrfty No. I￿1798
Prlndpal Offlce
Office 619. Llnen Hall
162-168 Regent Street
London
(Attn: Elena Motsrel
WIB STE
Tntstees
The following trustees served durin8 the year:
T. Lewin
E. Lileeva
E. Moore
The purpose ofthe thartty areto relievefinanclal ha￿ShIP. to preser¥eand prote£tgood health and to
advan￿ education of children and young people with disabilities in Russia and the UK. To resource of advice.
assistance and of arti5tio ed￿atIOnal andother de¥elopmnt xthitie5 forchildren and young
people w: lal enable them to partldpatÈ In the so¢Eety as Indepe1￿en£ mature and reSi￿lb1e Ind￿¢duat$.
Ib) advance thlldren educatlon; and Ic) pffj￿de recrea￿On￿ a¢tk¥its in the itxerests of sod•J wlth a bryewto
improvin8the condition5 of lrfe.
The tr￿tee$ tonfimi that thè Charity hascomplled with its duty1Trsecti¢A 17 of t￿[haritieS P£t 2011 to
havè duè regard to publit benefitguidance pubfisfr￿ by the ChaTilies Commissttin when re¥lewin8 its aims
and obiectlves and in pknnning futureactr4itle&
ACHIEVEMENTS AND PERFORM
followin8 actbvfties took place in past year: É22AbJ) went to WakèfiÈld HosprcÈTo contfftue ouronè
on one child counsellingsessions. purthase more Georye bea￿ and actl¥lty tTh)ks. To create a separate
bereavement serllces outdoor ptsj. £5.(W wentto ￿d$ N'aclion to support The WinterWonder5cape
event, whlch ￿￿cESSfUllY empowered s(￿la1￿ and ecoYwnl¢alty dlsthantaged young people during the
School holtdays in earlyjanuary 2024.
Fifi4PICIAL REVIEW
Ouringthe year. the FOund4th￿ spend tk of £27.iK¥Jon charitable aCti￿tte
sTrucfuR4 GOVERNANCE AND MAIIAGEMEMr
The Charfty Is a Charftable Incorporated Organisationtcio).
Page 2

Fwnd*lon
Tntstee$Aftn￿1 Report
Every trustee must be appointed for a temi of three years by a resolulfon pas*d at a prowly con4ened
meetin8 of the tharfty trustees. In Select1￿ Indlvlduals for appolnlment as tharlty trustees. the tharfty
trustees nwst have regwd to the sk11￿ knowledge and experlence needed forthe effertlve admlnlstratlon of
the ao.
Stat•Mrt of truste•s' rnsponslblllltes In relallon to thellnandal slalements
The tharlty trustees are responslble for preparln8 a trustees, annual report and financlal ststements In
accordance wlth appllcable law and Unlted Klngdom Accountlng Stsndards lU￿ted Kln8dom Generdlly
AC￿pted Accountin8 Prartl¢el.
The tru5tee5 are reswnslblefor keeplng proper acc(xmtlng re(y>rds that dlsclose wlth rea￿able ac¢urdcy at
anytlme the flnanclal posltlon of the tharlty and to enable them to ensure that the financial statements
comply wlth the Charltles Act 2011, the appllcable Charftles (Accounts and Rel￿) Re8ulatlons and the
provlslons of the Trust deed. The Trustees are also responslble for safe8uardlng assets of the tharlty and
her￿ tsklno reasonable steps for the prnentlon and detectlon olfraud and other Irre8ularltles.
Sl8ned on behalf of the charlV5 trustees
N. Abela
Trustee
30 No¥•mber 2024

fiuK15 Totsl fixmts Totslfim
lo￿39
22A39 U439
Raisingfunds
Charltable actl
4￿51
27￿>
4ASI
27.IAXJ
6fi23
746
31659
31f•59
Net 8t1￿ on inve51Th
Net eXp￿dI￿re
Transfers between fund5
{W2201
1102201
17.369)
84th￿l￿$Se$l
{W220)
{102201
17.369)
(10220)
1102201
(7,369)
Total fund5 ￿t forward
17,186
17.186
2¥55
17.186
Page 4

at 31Jaftuary 2024
Omrity No. Its1798
Cash at bank and in hand
17.186
17.186
17.186
6.966
17,186
17,186
Total net assets
6,966
17,186
Thefunds ofthe dwrlty
Unfestflcted fund5
General funds
io
6.966
17.186
6.966
17.186
io
Total funds
17.186
Apwo¥ed bythe trustees on 30 N(Nember 2024
Ands
Tntstee
30 No¥embeT 2024
Page 5

p4doala Foundbdon
Notesto theAccounts
for theyear ended 31 January 2024
l Accountlngpolldes
The financial statements ha¥e been prepared In actonlano T*lth Ststementof Recommended Prartice:
AccoL5ntlng and Reportln8 by Charltles preparh)8theiractounts Inaccordance wlth the Flnanclal
Reptsrtln8 Standard appllcable In the UK and Republlc if Ireland IFR5 1021 issued on 16Juty 2014 and the
Flnanclal Reportln8 Stsndard applicable in the United ￿ngdoM and Republic of Ireland IFRS 1021 ènd the
Charlties Act 2011.
Ch•ng• In l)asls rf•ccourtlryor to pre¥thtyam7Urts
There has been no thangtto accountlng pollcles {￿lUatEOn rules and method of accountln81 slnce
last year and no than8es ha¥e been made to accountsfor pwlous years.
Fund accountlng
Unrestrlcted fund5
These are avallable for use at the dlxretlon of the trustees In
furtherance of the 8eneral objerts of the chartty.
These are unrestrlcted funds earmarked by the tru5t•¢5 for partlculaf
purposes.
These are unrestrlrted funds whl¢h Include a re¥aluatlon reser¥e
rèpre5enUn8the re5tstement of Investment assets at thelr market
values.
These are avallable for use sublect to restrlLkns Imposed bythe
donor orthrou8h temis of èn appeaL
Oesl8nated funds
Revaluatlon funds
Restrkted funds
Re¢o8nltlon of Income
Income Is Incbjded In the Statement of Hnan¢l•l A¢tlvttles ISthAI when
the th•rlty becomes entitled to. and vlrtually ￿rtaIn to rKelve. the
Income and the amount ofthe Income (an be measured wlth sufflclent
rellablllty.
Income wlth related expenditure Where Income rel•ted expendlture the Income and related
expenditwe Is reported gross In the SOF
Donatlons and le8ades
Voluntary Income recol¥ed by way of grnnts, donat1￿$ and 8lfts Is
Included in the the SOFA when receivable and onty when the Charlty
has uncondltlonal entlllement t¢ the In¢¢me.
Tax reclalms on donatlons and Income from lax redalms Is Included In the SOFA at the same time as
Ihe 8fftldonatlon to whlch It relates.
These are only I￿luded In irKome {vAth an equlvalent amount In
expendlture) where the benefitto the Cliarlty Is reasonably
quantlfiable, measurable and Nwtsrbal.
The Val￿ of anyvolunteèr help reolved Is not Induded In the
accounts.
Donated servlces and fadlltles
Volunteer help
In¥estment In￿me
Thls Is Included In the accountswhen recelvable.
Thls Includes any Baln or loss resultin8 from revaluln8 Investments to
market value at the end olthe year.
Galns/llossesl on revaluation of
flxed assets
Galnslllossesl on Investment
Thls Includes anygaln or loss on the sale of Investm￿1>
Page 6

ryvAT*thlthcan￿rt befuly reco%we4 and is rep￿ted as part of the
EXp￿￿lture on ￿lsing fund5 These comprse tosts associated *ith attracting voluntary income.
Expenditure on (haritable
a¢tMlles
making of8rarrtsand80Mnan￿ (ost
Grarts payable
acuual forgrarts that been apwoved bythe trustee5 at end
OftheYwb￿ notyet ￿.
aWin(kpetht exaMThtK￿ fee5. costs linked to the5trateyc
Other ￿penditUre
E4)endlÈwe
Charltable activltles
6.623
746
746
Net Income
17.369)
.369)
17.3691
17.3691
17.369)
17,3691
Totsl funts brot￿ht forward
24.555
24.555
17.186
17.186
Pa8e 7

Totsl
IW9
I6￿9
16.839
16.839
2024
Tot*1
Tot•1
4JSI
4.851
4.851
4.851
Totsl
2013
Expendlture oft chorftable a¢dvl¢ks
Grants made
27,(
6,623
Gos*rnonce costs
27.(K#)
27,C
6.623
Pa8e 8

Nade*la Foundat1(
7 Analysls of 8rants
ALtlvlty or Pray￿￿me
Totsl
Home Link Fam5ty Suppport
A-T Society
Somerset House Trust
Youn8 ukr￿nIan
refu8ee5
Wakefleld Hosplce
Klds N'Artlon
1,3
323
21CaJO
27.IXKI
6.623
Total
Home Unk Famlly Suppport
T Soclety
Somersel House Trust
L3
Young Ukralnlan refv8ee5
Wakefiekl Hosptce
Ktds N'Artlon
323
211KKI
27,￿>)
6,623
8 Othw •1p￿dIt￿r•
T*x•I
Tot•1
aank loan and ovenlraft Interest payable
General admlnlstratbM costs
102
102
746
746
9 Staff costs
No employee recel¥ed emoluments In excoss of£W.(KI
Page 9

At31
J*M*ry
G•nernl funds
17,186
21439
132.6591
Ttxal lunds
17.186
22.439
132,6yJI
6,966
Tot•1
Net current assets
6.966
6.966
Ati
At31
J•nv•ry
Cash and cash eqthlefits
17.186
17.186
(10.220?
110220)
6,966
Net debt
17,186
(10,2201
6.966
Pa8e 10

for the 31 January 2024
2024
Net eXpendI￿re perSl•tem•nt of FIn•ftd￿ A¢il¥lt
{10,2ZOI
(7,369)
Not ¢th ￿ed In Opern￿￿ actlvlt
110.220)
17.3691
N¢t ¢ash Irom In¥•stlngacU¥ftles
Net ush from fin•ndn8 a¢tl¥ttl•>
Net dery•*• In ¢•th and osh •qufv•l•nts
{102201
17.3691
Cash and osh equfv•lents •tth• tse8thnl￿ of th•￿T
17,186
24.5SS
Cash and cash •t th• •nd ol th•y•ar
17.186
Comport•nts ol cash 4nd cash oqu1¥41•nts
Cash and bank balances
17,186
6,966
17,186
Page 11

fumts Totslfimts Totsl fund5
Donation5 and le8acie5
1(839
I6￿39
IW9
16,839
39
Costs of generath8 donatlonsand
le8ades
4￿51
4￿51
4￿51
4A51
Totsl ofexpwdlture on ftbl
4I51
4*51
Charitsble actt4fj
Grants made
27JKKI
27,(KKI
27.
27.(NXI
6.623
6fi23
27,LKKI
6￿23
Other ex￿dIt￿re
Bank loan and o¥erdraft lrterest
payable
102
102
General admlnÉstrative cost
Ir*cluding depreciation and
amortisation
Bank thar8es
Software. rr support and related
Sub5criptior
216
216
555
35
746
746
31659
32.659
I￿220}
(￿220>
{7.3691
Page 12

Net eyndllure beforeoth
8•1n51(losses)
Other Galns
1102201
110220)
17.3691
Net movement In fvnds
(102201
110.2201
17.3691
Reconclllltlon ol ￿nds.
Total funds brou8ht fory4afd
17.186
17.186
24.555
Totsl lunds cairled fonmard
6.966
6,966
17,186
Pale 13