REGISTERED CHARITY NUMBER: 1184459
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMEIKS
FOR THE YEAR ENDED 31 JULY 2021
FOR
ThE TUDWICK FOUNDATION
Baker Chapman & Bussey
Chartered ACl>￿ntants
3 North Hill
Colchester
E85ex
C01 IDZ

THE TUDWICK FOUNDATION
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2021
Chalnnan's Rèport
Report of tho Tru8tee8
Indeynd•nt Examln•rf8 R•port
Statèment of FlnanclAI Actlvltl••
Balanc• Shoot
Cuh Flow Ststemont
Not•• to th• C88h Flow 8tstem•nt
Notso to th• Fln•n¢l*l St#t•ment•
D•tall•d 8t•t•ment ol Fln8nclal Actlvlti
9 10 14
15

THE TUDWICK FOUNDATION
CHAIRMAN'S REPORT
FOR ThE YEAR ENDED 31 JULY 2021
It Is a plea3ure to present our sec•)nd annual repcvl.
Our constsnl ethos is to help those vtho help oth&ts. Thts have constanuy tried to achieve ¢arebJlly vetting th6
appllcants comlr*g fr(xn a spectrum of communiiy 8cbvibe$. We are particulady pleased lo be able to help thL)se at
the threshold of a community Ven￿￿. see the need to imwove the Ilfe of Olhers. but who need something of 8
finandal "leg-up. to bring aspiration$ lo realty. This 1$ focus. ralher Ihan assisbng ch*iti"g¥ Wth sub¥tsntial thcome
and rnserves. pawng a prof8s*onal fund raiser to make *icatlon8.
At this lime last year, we had no way of knowng that Ihe locadown8 8nd re8tréctions due lo CovKI would remaln ￿th us
for another 12 months. This continued to challenge convenb.onal community 9athorings resultlng losses ol revenue
to clubs, village halls and other ¢entres. The extènsion of lo¢k downs a180 impacted the mental health of many and
those ￿1￿ spe¢i•l needs. I refai the reader to ihe Iruslees, rekxjrt whth gives d8talls of the hglp ￿ have been able lo
91ve, and which ¢ould be diwided and 3ummari5ed in th8 followng c8legories'.
AdulVChlldlYouth educatlonlopw1unty 31%
Cornmunlty ¥upport 27%
Mental Heath 21%
Isolatlon and lonellness 11%
Phy8ical health support 10%
The trustees. report 8150 menttons thg Inveslmgnl perfomi8nce of our assets and the accounts show that ￿ have
roceived ovgr £91.000 of investment in¢ome, mat¢htng the OXE￿￿tionS pr¢ Covid. Wlh the neeil$ of our community, It
can be seen that w• have expended over £105.0￿ In granti. We IrrteThJ to continu8 to roach out wlth a helplng h8nd to
those wlling lo inv88t klndness In. and to othtsr¥.
My thanks lo my CCtrtW8le•8 and to Sue Ha￿8. our eveTwc0nsci￿tkMJs 80Ugtsry
C N Bennett- Cholrman
Pagè 1

THE TUDWICK FOUNDATION
REPORT OF THE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2021
The tru$lees present thelr roM)rt vrith th8 finan(¥al stst&ments of the charity for the year ended 31 Juty 2021. The
Irusl8e$ have adopted the provisions of Accounting and Reporting by Charfues.. Statement of Recommended Practice
applicable to charities preparing tt)elr acojunts in ac£ordance vrith the Finartc￿l Reporting Standard appllcable in th&
UK and Republic of IrelaThJ (FRS 102) (eff•ctr¥e l Jan￿ry 2019).
OBJECTIVES AND ACTIVITIES
ObJ•etlve• and AimJ
The objects of the chadty aro the prcM)wlbn of Wby tharit8ble puryjosès for the b8Mfft of thg communlty wimarily, but
not exclu$ively, in E55ex and Sufft>lk, in the advarthnBnt of edl￿o110n, the ptotedon of mental and phyiical health and
the relief of poverty and 8lcknes5.
SlgnSncant actSvlll••
The charity seeks to achleve its obl8¢ts ty moklng grants. princlwty to $rnall organi8alion8, for sp8cthc and wèll
defined projects.
Publlc b•nefit
The tnJstw have p8ld due regard to the Ch*iity CommI85k￿ gu￿381￿0 on publlc bon¢fiL
Grnnlmaklng
Durfng ihe p8riod tho charty mad• 9ran18 to th• follcmlng organisations:
st8p￿n9 Ston88 Play & Leam
Essex Demenua Care
Tendring Mo(181 Railway Club
Computers for th• disabled
Thg Klnelle Sd&n¢e Foun<Jation
Walk Colcho8ter
Elevator Arts CIC
Th8 M8*J About Th08lr• Co
Fr••dtsrn Church lQn¥lugi HoFe Wellb81ng
Prtsject
The ATC Famlly R•8ource C•nire
Happy HS11
Walton Communlty Centro
Takiwatanga Support Services
Col¢he$tar N8palaso Society
Suffolk Lo￿and Search & Re￿u8
Poppies Care Fam CIC
FAYAP
Christophar Cantr• Sudbury
Ip$wfch Boxing Club
Worlingworth Communty Centre
Phoebg Centre
Unitarian Meeting House Bury St Edmunds
Kernos Centre
Reach Out for Menial Heallh
IP3 Ipswch Good Nolghbour S¢homo
The Phab Shop
Bungay Br￿$
£891
Young People T4￿ng Actlon
£2.000
The Vol¢e Clc
£1,200
Ipsv+ich Transport Museum
£3,000
Colne Valley RAI￿9Y Preserv8llon Ltd £3,000
Th• Lock$ Inn Community Pub
£3,01)0
Student
£2.550
SARS
£2,000
Rayne Vlllaotr Hall
£3,000
Karfbu Afrlcan Women'8 Support
£2,492
Group
Loi$ton Land Community Trust
Tom's Trust
Moncap
The Acè PrO1￿t
Sudbury Hlve
utt￿ Acoms Pre&8chool
Joonn8 Eden CIC
Still Good Food
Haughl•y PlaySNJ Fl•ldBorf• Club
Ipswch BMX Club
The Offshoot Fojndatton
Primgdonn8 Festival
MN Welkchitd Support
Selig Suffolk Trust
Halesworth & Dlstrfct Nluwm
North Aven(te Youth Centre
Old Newlon & DvJworih Village Hall
Ilketshall Sl Lawren￿ Pre-school
£1,200
£1,500
£1,525
£1.000
£3.000
£3.000
£2,1C(I
£3,OCQ
£1,OQ)
£1,8
£3.OCQ
£2.orxs
£1,5
£1,891
£1,000
£2,0
£1.OiXI
£1,2
£3,OCQ
£1,0
£2,OWJ
£sso
£1,000
£1,005
£1,014
£1,580
£3,OC
£3,OC
£3.OCQ
£3.OCXJ
£1.500
£1,SOO
£1.800
£eoo
£2.700
£3.OlJ)
£1.5QJ
£1.0(XJ
£1.500
£1.5C
Total
£10S,378
ACHIEVEMENT AND PERFORMANCE
Charftabl• activiti
The obJectfve8 of the foundation have been 8uccessfulty tthieved.
Page 2

THE TUDWICK FOUNDATION
REPORT OF TrIE TRUSTEES
FOR THE YEAR ENDED 31 JULY 2021
ACHIEVEMENT AND PERFORMANCE
Investmont pgrfonnan¢•
Reflecting the signrftcanl recovery in stock markel confidence. the investm&nls have noticeably 0utp&rfo￿ed and have
fully recove￿d the Ioss 8hovm in last yeaf8 accounts and rthi show a satisfa￿Ory gain over cost value8.
FINANCIAL RVIIEW
Pdnclpal lundlng 8our¢
The charitls princjpal soJr¢o of furmls 55 Colln Bennott.
Invg•tm•nt pollcy and object
It is the truslee8' polw that the capital K8 emrAoy•d to give an incc*mo wNch ￿11 fund th8 grants. Thls 18 lound lft fir8t
cla55 low geared Investment tnJst8 managed by thg ￿¥¢JIng Crty fvnd managers providing u8 wth relatively Snexp•n8ive
expertlstt. as well 88 industn'al and geographical diversrflcation.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing doeum•nt
The charlly 1$ controlled by it8 govemln9 dcumert a d88(l of trust and o)n8tltLrt•8 an Unincorp￿81od charfty.
REFERENCE AND ADMINISTRATIVE DETAILS
Regl8tered Charlty nurnb•r
1184439
Prlnclpal addr•••
17 Jam6B C8rter Ro*d
Col¢he8ter
Ess&x
C03 9XA
Tru•tts•
C N 8ennett
V R Shaikly
J P Endacott
T C B•nnett
Ind•p•nd•nt Ex•mln•r
Bak&r Chapman & Bussey
Chartered Account8rrts
3 North Hill
Col¢hesler
E668x
C01 1DZ
Approved by wder ofthe board of tru$tg•$ on 18 March 2022 and $lgned on Its behalf by:
C N Bennett- Truste8
Pa￿3

INDEPENDE￿ EXAMINER'S REPORT TO THE TRUSTEES OF
THE TUDWICK FOUNDATION
Indèpendent •xaminerfs r•port to the twst••# ofThe Tudwlck Foundation
I r8POrt to tho charity t￿ste￿ my examtnation of the 8ccc4mts of Th¢ Tud*lc* Fourmlatron (the Trust) for th8 year
end&J 31 July 2021.
Rgspon$ib115tles and basls of rgport
As the charty trustees of the Trust you are ￿$[￿8￿)19 for th? wep8ration of Ihe accounts In accordar￿e vAth Ihe
requlremgnts of the Chodtie8 Act 2011 Cthe A¢￿.
I report in resp8(a of my examln¥tion of the Tru$f$ a￿Unts c4rried Éxrt under section 145 of the Act and in carylng out
my examination I ha￿ lollowed all appH¢able Dlrecllons ￿￿en by th8 Charty c￿MIssion under section 145151{bl of the
Act.
Ind•pondtrnt •xarninerf8 gtat•ment
I have complgted my examlnation. I confimi thot no material mattern hav• come to my attenlion In Connection wlh the
examination giving me cause lo believe that in any maleriJ respoct..
•c¢ounting re¢c*rds were not kept In r8srt ofthe T￿St as requlred by $8¢tlM 130 ofthe Act., or
Ihg accounts do not 8ccord wth those re￿r￿S., or
the o¢counls do not ¢LNnpty %wth the appucable r•quiffjments concerning the fom and ¢onlont of accounts sel
out In th& Charttles (Accounts and Rwrts) RegulaIK￿S 2CK)8 other than afty wuirement that th8 aecounts glvè
true and fair viow whi¢h 18 not a matt8r con$id$rod #s part of an Indep•nd8nt oxamln¥Uon.
I have no cOn￿m$ and ha￿ comfj 8tt088 no other matter8 in conn$L*on ¥Ath the examinalion to vthlch att•nllon 8hould
be drawn In th18 report in order to enable a proper understanding ofth8 •ccounts to bts r¥ached.
J4¢qutslln8 Fr08t
Baker Ch8pm8n 8 Bus80y
Charteréd A¢counlant•
3 North Hill
Colcho$1
E￿eX
C011DZ
18 M8rch 2022
Page 4

THE TUDIIACK FOUNDATION
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JULY 2021
Period
17.7.19
lo
31.7.20
Total
funds
Year Ended
31.7.21
Unr•strl¢tsd
fund
Notes
INCOME AND ENDOWMENTS FROM
Donation8 and legacies
125,OOS
2,C¥JO,030
Inve8lrnenl InoJm•
91.593
60,955
Total
216,598
2.060,985
EXPENDITURE ON
Charitable actlvltl•¥
Grant maklng
110.149
e6.314
Nel galn8lllo$ses) on inv8Stmonts
591.294
{373,1681
NET INCOME
897,743
1.621,505
RECONCILIATION OF FUNDS
ToLg1 fund8 brought forw•rd
1,621,505
TOTAL FUNDS CARRIED FORWARD
2,319,248
1.621.505
Thè notè8 form part ofthese finanaal stattments
Page 5

THE TUDIVICK FOUNDATION
BALANCE SHEET
31 JULY 2021
2021
Unrestrl¢ted
fund
2020
Tot
ft￿d8
Notes
FIXED ASSETS
Investments
10
1277,456 1,612.707
CURRENT ASSETS
Debtors
Cash al bank
4.783
41,449
19,238
46.232
19,238
CREDITORS
Amounts falling dufj wthin one year
12
14.440}
{10,4401
NET CURRENT ASSETS
41.792
TOTAL ASSETS LESS CURRENf UA8IUTtES
2.319,248
1.821.505
NET ASSETS
2,319.248
1,821,505
FUNDS
Unrestrletsd fund8
13
2,319.248
1.021,505
TOTAL FUNDS
2.319.248
1,621.505
The flnanclal 8latem•nts were opproved by th• Board of Tru8iee8 and auth￿188￿ for188ue on 18 March 2022 and were
Signed on i18 b8h8lf by.
C N B¥nnett. Trusloe
The notss form part ofthe¥e finawal staternents
Page 6

THE TUDWICK FOUNDATION
CASH FLOW STATEMETr
FOR THE YEAR ENDED 31 JULY 2021
Poriod
17.7.19
lo
31.7.20
Year End
31.7.21
Cash flow8 from oper4ting aGtlvltlo
Ca8h generated from operations
Tax paid
8.856
14.7831
1,944,1SO
Nel cash Pro￿￿ed by op•raling activ￿88
4073
1,944,156
Cash ftows from Inv•stlng aetlvitl•8
Purcha8e of fixed a$set Snvestrnents
Movament on investm•nl ¢&8h bg18nce
Dividends receiv8d
If 43.819)
70,384
91,S93
{1,890,0911
{95,7621
60.955
Ng1 caBh provliJ8d byllu8ed in) Investing o¢lNWe8
18.138
{1.924.918}
Chang& In cwsh and ¢•¥h •qu￿41•nI• In
th• r•portlng p•riod
Cash and ca•h equlval•nts at th•
b•glnnln9 of th• rnportlng p•dod
22.211
19,238
19,238
Ca8h and cash •qulval•nts at th• •nd of
thg r•portlng porlod
41,449
19.238
The noles form part of thèsè financial slatements
Page 7

THE TUDWICK FOUNDATION
NOTES TO THE CASH FLOW STATEMEKr
FOR THE YEAR ENDED 31 JULY 2021
RECONCIUATION OF NET INCOME TO NET CASH FLOW FROM OPERATING ACTvrfrriES
Period
17.7.19
Year End
31.7.21
31.7.20
N•t Incom• forth• rwrtlng p•rlod (as per tho Stat•m•nt of Flnan¢l*l
Actlvltieg)
Adlu9tment• far.
IGain}nosses on investrnerts
Oividends re¢elved
IDecr6•seYincro88e in ¢r¢dltof8
697,743
1.627,505
1591.294)
191.5931
{8,0(M)I
373.1e6
160,955)
10,440
Not ca•h provld•d by operntlon•
8,856
1.944,156
ANALYSIS OF CHANGES IN NET FUNDS
At 1.8.20
C08h fiow
At 31.7.21
Net ¢a•h
Cash at b#nk
19.238
22,211
41.449
19,238
22.211
41,449
Total
19,238
22.211
41.449
The notes form part oflfwe fin8nci818talements
P4ge 8

THE TUDWICK FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2021
ACCOUNTING POUCIES
Ba$l¥ of preparing thè financlal 3tatements
The financial $lalemenls of the charity, which Is a publlc benefrt entity under FRS 102, have been prepared in
accordance with Ihe Charflies SORP IFRS 1021 'A￿UntIng and Reporting by CharEOg8'. Slalemenl of
ReLxJmmended Prath"ce applicable to chanues preparing their accounts in accord8nce Mth the Financial
Reporting Stsndard app14cable in the UK and Republlc of Ireland {FRS 102118ffective 1 January 20191.
Finaneial Re￿ting Standard 102 Tr Finan￿al ReFwUng Standard applicable in the UK and Republic of
Irelanrt and the Charities Act 2011. The fin•ncial ststements have been wepared under th¢ hl8lorical e08t
¢onvention, with the excepti￿ of invesknents which are included al matkftl value. as modffied by the rèvaluation
of c&rtain a¥sets.
Incom•
All income 18 re¢ogni8ed In th• Ststem8nl of Fln4wal Actknli88 onLX the ch•nty has enfjtternant lo th8 fvnds.
1$ probabje that the Incom• VAII be recebKd and the •m￿nt can be measur•d reljabty.
Expendltufg
Llabllllie8 are Te¢ognised as ?¥pendiluro aB 8OC41 •B there 1$ a *al or consthJctiv8 obllg#llon commlttlng tho
charfty to th81 expendrture. it 18 probable Ihat a transfer of g¢onomic benefits wtll be wulrtrd in settl•menl and
the omount ol the obl￿allOn can be measured reliabty. EXp¢nd1tu￿ is accounted for on an a¢¢rualB bas1$ and
has been classified under headings that a99￿gate all ts)st related to the ¢8tegory. Where costs cannot b•
dlreclty attribuléd to partlcular h8ading8 thoy have bgen allocated to xtMtl•8 on a baBI8 con¥l8tent wllh the u8•
of r•$ouregS.
GNntB offored •ubleGt lo corKlilion$ whKh havo not b80n mot at th• yaar end dat• Are notsd 88 a commltment
but not accrued as exF*ndftur•.
T•xatlon
The ¢harity 1$ •x•fflpt from tax cffl Ft8 charfi*bl• a¢UvlO#.
Fund occountlng
Unf88trleled fund8 can b• used in accord￿ *llh th8 charttablo obiecllv88 41 th8 dI$￿￿on of th8 tru8ts8B.
Re8lrtct8d lund8 can Only b• u8•d for particular re8lrf¢t￿ purpw8 wlthln th• object8 of the charlty. Re81ricllon8
arf8• when specllled by the donor or Wt￿ fttnd8 are r8i8•(I for partl¢ular restrlrtgd purpo888.
Furthor •xplanaUon of the nolure and purpo8e of each fund Is InchJded In lh• noleB to th• financlgl st8twnenl8.
DONATIONS AND LEGACIES
Perlod
17.7.19
to
31.7.20
Y••r EDd•d
31.7.21
Donatlon8
Donateil 8ervice8 and fadlths
125.005
2,OCQ.OL)O
125,005
2,LIJO,030
Page 9

THE TUDWICK FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS- ¢ontSnued
FOR THE YEAR ENDED 31 JULY 2021
INVESTME￿ INCOME
Period
17.7.19
Year Ended
31.7.21
31.7.20
Othet flxed asset inv- UnFII
91,593
80,955
CHARITA3LE ACTIVITIES COSTS
Grant
funding of
activrttes
($08 note
5)
Support
¢08ts18ee
note 81
Total8
Grant maklng
105,378
4.771
110.149
GRANTS PAYABLE
Perlod
17.7.19
lo
31.7.20
Y••r ErKl•d
31.7.21
Grant making
105,378
62.394
Ouring th• perfod the charlty made donations of up to £3.(KJO to a vartety of small org8nl8allon$, mainly in Essex
and Suffolk, lo fund $￿ifiC and well defined pro1￿t$ intend8d to further tho ¢haritl$ objects of advanclng
edue¥lion. piolectlng mgntsi and phys￿￿ wdkhing and relie￿n9 of povety and 8t¢kn8u.
SUPPORT COSTS
Management
Gov•mancg
COB18
Finan
Totsl8
Grant m8klng
3.070
261
1,440
4,771
TRUSTEES, REMUNERATION AND BENEFIT8
There were no tru$lees' r•muner•lk>n LY other benefiis for th8 year ended 31 July 2021 r¥Jr fDr thg perrod ￿ded
31 July 2020.
Tru8t•￿' eX￿n￿e￿
Th•m *tre no tr￿tee$, weftsos paid fwthe year ended 31 Juty 2021 norf¢v tho parlod ended 31 Juty 2020.
Pa99 10

THE TUDWICK FOUNDATION
NOTES TO ThE FINANCIAL STATEMENTS - contlnued
FOR THE YEAR ENDED 31 JULY 2021
STAFF COSTS
Period
17.7.19
to
31.7.20
Y￿r Endod
31.7.21
Wa9e8 and 8•18ri
2.794
2.091
2,794
2.091
The average monthty number of employeas durtng the y¢&rw•s as folkm..
P•rfod
17.7.19
lo
31.7.20
Yo•r End•d
31.7.21
Managew*nl
No gmployees recelvèd omoluments in •xc888 of £￿,fA￿J.
COMPARAnVES FOR ThE STATEMENT OF FINANc￿L A￿￿rnES
Unroslrictgd
fun¢J
INCOME AND ENDOWMENTS FROM
Donations and legacig$
Investment Income
2,C()0.030
60.955
Tot•1
2,000,985
EXPENDITURE ON
Charttabl• actlvltle•
Grant making
Nel galn8111088881 on Investments
NET INCOP4lE
88,314
{373,166)
1.621.SOS
TOTAL FUND3 CARRIED FORWARD
1,821,505
10.
FIXED ASSET INVESTMENTS
2021
2020
Shares
Olh8T
2.252.038
25,418
1,516,925
95.782
2.277.458
1,612.707
Page11

THE TUDIMCK FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS- c¢•ntinued
FOR THE YEAR ENDED 31 JULY 2021
10.
FIXED ASSET INVESTMENTS - contlnued
AddKional infonnation as fo1lcN￿'.
Usled
Investrnents
MARKET VALUE
Al 1 August 2020
Additions
Revaluatlon8
1,S16.925
143,819
591,294
Al 31 July 2021
2.252,038
NET BOOK VALue
Al 31 Juty 2021
2,252.038
AI 31 JLtly 2020
1.516,925
There wer¢ no investment assets OLrt81de the UIL
l or valuation •131 July 2021 b8 rewesentod by".
Ll•t•d
Inv•stment•
Valuation in 2020
Valuation in 2021
Cost
{373,1661
591,294
2,033,910
2.232,038
Inv•8tments In•lher118t•d nor unlt818rf) wero •8 folkn*s:
2021
2020
C84h
25.418
95.782
11.
OEBTORS: APAOUNTS FALUNG DUE wJTrnN ONE YEAR
2021
2020
Tax
4,783
Page 12

THE TUDWICK FOUNDATION
NOTES TO THE FINANCIAL STATEMENTS- ¢ont[n[￿d
FOR THE YEAR ENDED 31 JULY 2021
12.
CREDITORS: AMOUNTS FALUNG DUE I%TfHIN ONE YEAR
2021
2020
Olher cred11018
10.440
13.
IOVEMENT IN FUNDS
Net
movement
In fund$
At
31.7.21
At 1.8.20
UnrgstrSctsd lund•
Gort¢ial fund
1.621.50S
897.743
2,319.248
TOTAL FUNDS
1.621.505
097.743
2,319.246
Net mov•m¢nl In *Jnd$, thcluded In th8 8b)ve are a8 follcw4:
Incomlng
Resourc¥s
txpended
Gains and
lo$$es
Mov•m•nt
In fund8
Unre8trlct•d fund•
Gtrneral fund
218.598
1110,149)
591,294
697,743
TOTAL FUNDS
218.598
1110,149}
091.294
697,743
comparnt1￿¥ lor mov•m•nt In fund•
Net
movement
In fvr¥Js
Al
31.7.20
Unro8trlcted fund8
Gèneral fund
1.621,505
1,e21,505
TOTAL FUND8
1,821,505
1.021,50
Comparotfv• n•t movement In lund8. Inthded the above are 88 f(AIow8".
Incomin9
resources
Resources
eypended
Gains and
Ios8OS
Movement
In fund$
Unr9•tr1et•d fvndrj
Genero1 fvnd
2.c￿,98$
(ee,314)
1373.188)
1.621,505
TOTAL FUNDS
2.060.985
(e6,314)
(373,166)
1.621,505
Pag¢ 13

THE TUDWCK FOUNDATION
NOTES TO THE HNANCIAL STATEMEKfs- continued
FOR THE YEAR ENDED 31 JULY 2021
14.
RELATED PARTY DISCLOSURES
During tho y98r the charity receNed donali¢ns trrtalling £125.000 12020." £2.(W.(￿) from C N Bennett, a
Iruslee.
Page 14

THE TuDV￿CK FOUNDATION
DETAILED STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JULY 2021
Periud
17.7.19
lo
31.7.20
Y••r Ended
31.7.21
INCOME AND ENDOWMENTS
Donatlons and legacl••
Donation8
Donated SeN￿e$ and facil￿08
125.OOS
2.OOD.000
30
125,005
2.000.030
Inve•knont Incom•
Other fixed 886el inv- UnFII
9f.593
60,9S5
Total In¢omlng r••ourc
216.598
2,060.985
EXPENDITURE
Charltablo 4Ctlvlti
Grants lo In$liluliori8
Grants to IndlvSdu•li
105.378
3.054
105,378
62,394
Support coBts
Managemfrnl
Wages
Po$l¥ge and stabonory
Sundrtes
2,794
2,091
60
179
276
3.070
2.330
Flnanc•
Bank charge8
281
150
Gov•Tnanc• ¢￿ts
Auditors. remuneration
Auditors. remun8ratlon for non audtt vAMk
Accountancy fe
800
1,440
Tol81 re80UIC88 8xponJed
110,149
68,314
N•t Incom•
106,449
1,994,671
This page doe5 notforni part oflhe stslutory ffinanc4al statements
Pa96 15