CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, annual report (including Directors, report) for the period
From: 0110112022
date
Period start date
3111212022
To: Period end
Charity name: Help Intemational Welfare Trust UK
Charity registration number: 1187856
Company number: 10311783
Objectives and activities
SQRP reference
Par8 1.17
Summary of the purposes of
the charity as sel out in its
governing document
The Charity's objects I"Objects"l are specifically
restricted to the following, in Pakistan and
elsewhere.. 4.1 to assist in the treatment and
care of patients diagnosed with Thalassaemia, in
particular but not exclusively by the provision of
financial assistance and support towards
equipment, Se￿iCe$ and facilities, by educating
and raisinE public awareness of Thalassaemia,
and by the provision of support for families
affected by Thalassaemia,. 4.2 to assist in the
provision of surEical treatment and care for
patients with cataracts, in particular for those
who cannot afford the cost of such treatment
and care,. and 4.3 to relieve poverty and
suffering in communities by the provision of
food, blankets and other essential items or
services to individuals and families in need and
by the provision of hand pumps and wells to
provide clean water.
Blood Donation Drive. to serve Thal Stars
IThalassemia Patients) in Pakistan.
Free of cost, quality medical care to these Thal
stars (Thalassemia Patients) in Pakistan.
Fundraising Campaign for Thal Stars
IThalassemia Patients)
Just like every year, we have organized Qurbani
this year as well and deliver meat and cooked
meals to the underprivile8ed and needy
households across Pakistan.
Trustees have had regard to the guidance
issued by the Charity Commission on publi
benefit.
Summary of the main
activities in relation to those
purposes for the publi
benefit, in particular, the
activities, projects or services
identified in the accounts.
Para 1.17and
1.19
Statement confirming
whether the trustees have
had regard to the guidan
issued by the Charity
Commission on public
benefit
Para 1.18

Additional information (optional)
You ma
choose to include further statements where relevant about..
SORP reference
NIA
Policy on grant making
Para 1.38
Policy on social investment
including program related
investment
NIA
Para 1.38
NIA
Contribution made by
volunteers
Para 1.38
NIA
Other
Achievements and performance
HI1￿ successfully conducted a *Blood Donation
Drives to serve Thal Stars IThalassemia
Patients
HIVJT has installed Solar Water Tanks in
different areas of Sindh to serve the community
in k)etter way of having Clean and Safe Water.
Under its Thalassemia Major Eradication
Program, HIWT has been providing IOOYO free of
cost quality medical care and education to 260
registered Thal Stars (Thalassemia Children) for
the past 9 years. Considering the harsh realities
of Pakistan, where 5 out of every 100 people are
effected by the disorder (with approximately 9
million people afflicted with Thalassemia minor
and 90,000-100,000 people carrying Thalassemia
majorl,
Help International Welfare Trust distributed
Blankets & Warm Clothes among the deserving
ones visiting their localities all over Pakistan.
Summary of the main
achievements of the charity,
identifying the difference the
charity's work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Para 1.20
At Help International Welfare Trust UK, we are
committed to making a difference in the lives of
those who have been affected by this natural
disaster. We have initiated a relief campaign
aimed at providing immediate aid and long-term
support to the flood victims.

Additional information (optional)
You ma
choose to include further statements where relevant about..
Achievements against
objectives set
Para 1.41
Performance of fundraising
activities against objectives
set
Par8 1.41
Investment performance
against objectives
Par8 1.41
NIA
Other
Financial review
Review of the charity's
financial position at the end
of the
eriod
Statement explaining the
policy for holding reseNes
stating why they are held
Par8 1.21
Financial Position Reviewed by the
Trustees at the end of the period.
Para 1.22
Held for Charitable objectives, Fund
raising and charity expenditures.
Amount of reserves held
Reasons for holding zero
reserves
Details of fund materially in
deficit
Para 1.22
Para 1.22
£170,2161-
Para 1.24
NIA
Explanation of any
uncertainties about the
charity continuing as a going
con￿rn
P8r8 1.23
NIA
Additional information (optional)
You ma
hoose to include further slalemenls where relevant about..
Donations
The charity's principal
sources of funds (including
any fundraising)
Para 1.47
NIA
P8r8 1.46

Investment policy and
objectives including any
social investment policy
adopted
NIA
A description of the principal
risks facing the charity
Para 1.46
NIA
Other
Structure, governance and management
Description of charity's
trusts..
Type of goveming document..
for example,
n-p'iior,31"diJm and articles of
Para 1.25
Memorandum and articles of association
How is the charity
constituted?
for example limited company,
Linincorporated association,
cio
Trustee selection methods
including details of any
constitutional provisions e.g.
election to post or name of
any person or body entitled
to appoint one or more
trustees
P8r8 1.25
Limited Company
Para 1.25
NIA
Additional information (optional)
You ma
choose to include further statements where relevant about..
Policies and prO￿dureS
adopted for the induction and
training of trustees
Para 1.51
The charity's organisational
structure and any wider
network with which the
charity works
Para 1.51
Relationship with any related
parties
Par8 1.51

Other
Reference and administrative details
Charity name
Other name the charit
uses
istered charit
number
Charity's principal address
HELP INTERNATIONAL WELFARE TRUST UK
1187856
30THORNDIKE
SLOUGH
SL2 ISR
Names of the charity trustees who manage the charity
Dates acted Sf not for whole
aar
Truste8 name
Office lif any)
Name of person lor body) entltled
oint trustèè
ifan
Syed Muhammad
Arif Rauf
Chair
Shahzada Imran
Khan
Trustee
Adil Ahmed Khan
Trustee
10
12
13
14
15
16
17
18
19
20
Cor
orate trustees - names of the directors at the date the re
Director name
Syed Muhammad Arif Rauf
Shahzada Imran Khan
Adil Ahmed Khan
ortwasa
roved
Director namè
Director name

Name of trustees holding title to property belonging to the charity
Trustèa namè
Dates actad if not for whol* èar
Funds held as custodian trustees on behalf of others
Description of the assets
NIA
held in this capacity
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
harit
's ob'ects
Details of arrangements for
safe custody and
segregation of such assets
from the charit
's own assets
NIA
NIA
Additional information (optional)
Names and addresses of advisers (optional infomiation)
Type of
Name
Address
adviser
Accountant
MA Accountancy
Services Ltd
30 THORNDIKE
SLOUGH
SL2 ISR
Name of chief executive or names of senior staff members {optional information
Exemptions from disclosure
Reason for non-disclosure of ke
ersonnel details
Other optional information

Declarations
The company has taken advantage of the small companies, exemption in preparing the
report above.
The trustees declare that they have approved the trustees, report (including directors,
report} above.
Signed on behalf of the Charity's trusteesldirectors
Signaturels)
Full name(s)
Position (for example
Secretary, Chair, etc)
Shahzada Imran Khan
Trustee
Date
1110912023

HELP INTERNATIONAL WELFARE
TRUST UK
Charit No
Com
No
1167656
10311783
eriod
Annual accounts for the
Period end
date
Period start date
01.01.2022
31.12.2022
Section A Statement of financial activities {including summary income
and expenditure account)
Restricted
income
funds
Unrestricted
funds
Endowment
funds
Prior yoar
funds
Recommended categories by activity
Total funds
Income (Note 3}
Income an(1 endowments from..
Don8ti0ns and legacie8
Charitable actiwliÈs
F01
F02
F03
F04
F05
7,975
27,582
35,557
82,817
S02
Other trading activities
Investments
S03
S04
Sep8rale material Item of income
S05
Olher
Total
Expenditure (Notes 6)
Expendlture on..
Raising funds
Charitable actiwliÈs
S06
S07
7,975
27,582
35,557
82,817
S08
3,300
3,300
16,000
68,873
53,931
S09
16,000
Sep8rate material expense Item
OthÈr
S10
S11
1,405
4,705
1,405
20,705
5,281
128,085
Totsl
S12
16,000
Net incomellexpenditure) before tax for
the reporting period
Tax p8y8ble
S13
3,270
11,582
14,852
45,268
S14
Net incomellexpenditure) after tsx
before investment gainsl(losses)
S15
3,270
11,582
14,852
45,268
Net gainslllossesl on
investments
S16
Net incomellexpenditure)
Extraordinary items
Transfers between funds
Other recognised gainsl{losses):
S17
3,270
11,582
14,852
45,268
S18
S19
Gains and losses on revaluation of fixed assets for the
charity's own use
OlhÈr gainslllossè$l
Net n70vement in funds
S20
S21
S22
3,270
11,582
14,852
45,268
Reconciliation of
funds..
Total funds brought foTward
S23
32,200
35,470
123,164
134,746
155,364
170,216
200,632
155,364
Total funds Carried forward
S24

HELP INTERNATIONAL 'I.'ELFARE Chari'.y N
TRUST LIK
CoillP3ny No
Balance sheet
1187856
10311783
Section B
Restricted
irbcomo
funds
Unrostrictèd
fund8
Erbdowmofbt Total this
funds
yoar
Total latst
y8ar
Fixed assets
Intangible assets
Tangible a$$ets
Heritage a$$ets
Investments
F01
F02
F03
F04
F05
(Note 151
INote 141
(Note 16
(Note 171
Total flxedassets
Current assets
Stocks
Debtors
Inv08tments
INote 181
(Note 191
(Nots 17.41
Cash at bank and In hand INote 24
Total current assets
36,605
36,605
179,784
179,784
216.389
216.389
206,599
206,599
810
reditors.. amount5 falling due within
one year
(Note 201
1,134
1.134
1.235
Netcurrent assgts1(liabiliÉi051
35,471
179,784
215.255
205,364
fotsl o$$ets le$$ ¢unrntllabllttle$ 913
205,364
Creditorn.. amounts falling due after
one year
(Note 201
Provislon$ for Ilabilities
45,039
45.039
50,000
Total net assets or liabilities
816
35,471
134,745
170,216
155.364
Funds of the Charity
Endowmentfunds (Note 271
R85trict8d income funds (Not& 271
Unrestricted funds
RÈvaluation rÈseTrve
Fair value ￿Serve
B18
134,745
134.745
35.471
173,164
32,784
B19
35.471
Tot81 funds
205.948
The company wa5 entitled to exemption from auditunders477 of the Companies Act 2006 relating to small
companies.
The members have not requlred the company to obtaln 8n audltln accordance wlth sectlon 476 of the
Companles Act 2006.
The dlrectotrs acknowledge thelrresponslbllltles for comptylng wlth the requlremenfs of the Com￿nIeS
Act wlth respe¢tto 4¢¢ountln9 re¢ord$ •nd thepreparollon of •¢¢ount$.
These accounts have beenpreparedin accordance with the provision5 applicab18 to 5mallcompani05
subject to the small companies regin￿ and in accordance with FRSq02 SORP.
Sh8hz8da Imran Kh8n
Signed by one or two ItUslee51directors on behawof all the
trusteesldireclors
Dal8 of
spproval
ddlmml
Shahzada khan
1110912023
Signature of director 8ulhenlicaling accounts beiro sent lo
Companies House
Signature
Dale
dlmml
1110912023
Shahzada Imran Khan
Print namp
CC17a IEx*ll
1310912023

Section C
Notes to the accounts
Note 1 Basls of preparatlon
Thls sectlon shouldbe completed by all charltles.
1.1 Basis of accounting
These accounts have been prepared under the historical cost convention writh items recognised at cost or
transaction value unless otherwise stated in the relevant notelsl to these accounts.
The accounts have been prepared in accordance with".
the Statement of Recommended Practice." Accounting and Reporting by Charities
preparing their accounts in accordanTr with the Financial Reporting Standard
applicable in the UK and Republic of Ireland IFRS 1021 issued on 16 July 2014
and with.
and with.
the Financi81 Reporting Standard applicable in the United Kingdom and Republic of
Ireland IFRS 1021
and with the Charities Act 2011.
The charity constitutes a public benefrt entty as defined by
FRS 102..
-Tick as appropriate
1.2 Going concem
If the￿ are material uncertainties related to events orconditions that castsignrficant doubt on the charitys
ablllty to contlnue as a golng concem, please pmvlde the followlng detalls orstate "Not appllcable-, If
appropriate.-
An explanation as to those factors that support
the conclusion that the charity is a going
concern.,
The twstees have assessed the going concem ofthe charity.
Charity can continue its operations and meetits liabilities as they
fall due for a sufficientpost-ye8r-endperiod.
N/A
Disclosure of any unTrrtainties that make the
going concern assumption doubtful".
Where accounts are not prepared on a going
concern basis, please disdose this fact
together with the basis on which the trustees
prepared the accounts and the reason why the
charity is not regarded as a going concern.
WA
1.3 Change of accounting poli¢y
The accounts present a true and fair view and no ch8nge5 have been made to the accounting policie5 adopted in
note { l.
Yes.
-Tick as appropriate
No.
Please clisclose.-
(l) th8 naturg of th• chang• In accountlngpollcy,-
(li) the reasons why applying the new accountingpolicy
pmvides more reliable and more relevant infomiation,.
and
CC17a (Excell
1310912023

(iii) thè amount of thè adjustment for eaeh afftet
in the cur￿￿tperlOd, each priorperiodpresented and
the aggregate amount of the adjustment relatlng to
periods before those presented. 3.44 FRS102 SORP.
1.4 Changes to accounting estimates
No changes to accounting estimates have occurred In the reporting period13.46 FRS102 SORPI.
Yes.
-Tick as appropriate
Pleas• dlsclosg.-
(i) the natutrE of any changes,.
(11) thè gff•ct of the chang• on Incomè and •xpgnsè or
&sets and liabilities ftir the ¢urrentperigd.' and
fiii) Whe￿ practicable, the effect of the Change in one or
more future pertods.
1.5 Material prior year errors
No material prior
ear error have been identified in the reporting period13.47 FRS102 SORPI.
Yes"
No.
-Tith as appropriate
Pl•asè diselos•.-
(l) the naturg of th• prlorp•tlod grror,-
(11) ftir èach prlorp•rlodprès•nt8d In th• accounts, th8
amount of the ¢orre¢tion for ea¢h a¢¢ount line item
affected,. and
(iii) thè amourtt of thè correetion at tho beginning of th•
earliestpriorperiodpresented in the accounts.
CC17a (Excell
1310912023

Section C
Notes to the accounts
Icontl
Note 2
Accounting policie5
ThAs $¢¥nd8rdlisi of•¢¢owJtinypolirie$ ha$ l)ewJ oppliodbyth* ¢h•yity OX¢OPtfwfho$o delet6d. Wh•ro¥
thfferentoraddilionalpolicy))as beenadopled then this is detailedin Ihe boxbelow.
2.1 RECONCILIATION WITH PREVIOUS GENERALLY ACCEPTED ACCOUNTING
PRACTICE
Please prowde a description
of thè naturÈof èach changè
In accountlng poIIcy
Reconcilia*ioNJ of fuRitsperprevious GAAPIO funds determinedunderFRS 102
startof
End of
ppriod
period
Fund •6 pr•viou$ly
stated
AdJuslmenis.'
Fund as r68tated
ReefA)clllatloJJ off netl1)com￿(￿et expen￿t￿re)PerPreYth￿ GAAP to nellftcome/{netexpendltureJ uftderFRS 102
End of
Net Incomellexpenditurel as pre￿Ou$
$tsted
Adjusinienis..
Prevlous perlod net Incornel{expendfturel as
r￿tsted
CC17a (Excdl
1310912023

Section C
Notes to thÈ accounts
(conti
Note 2
Accounting policies
2.2 INCOME
Ro¢oOn￿l0￿ of in¢omo
These are Included In the Slalemenlof Financial Activities ISoFAlwhen.'
the chanty ￿Mme5 enlilkd lolhe resources,
Il Is more Iiketythan notlhalthetrustseswill receive ihe res￿rGe5,
the monetaryvalue can be mea5uredwilh sufficient reliabil￿1.
Yes,
No"
Nl8"
Ye5"
No"
Nla"
orrsdtsng
The¢ h8$ been no offsetting 018ssets and li8tyilibe$, or in¢ome8nd expenses, unless
re4uired orpermitied bythe FRS 102 SORP or FRS 102
Grants And donatlon9
Grants and donations are onty Included In the SoFAwhen ihe weral Incomp recognibon
Gtileria are tnet15.10 to 5.12 FRS102 SORPI.
Ye8"
No"
Nla"
In the case of performance related grants. income musl only be recognised to the extent
Ihatlhe charity has provided Ihe spe￿fied gO￿90r sew1￿5 a5 entit￿￿entIoIhe grant
only occursthen the perfo￿anCe related conditions are mel15.18 FRS 102 SORPI.
Yes.
No.
Nla"
Legacies are included in ihe SOFA when receipt Is probable, that is. Mthen there has
been graTrlof probate, the executors have eSta￿l&hed that there are sufficientassets In
the estate anycondilions altath& lothe ￿g￿are ertherwiknin the control of the
harityor have been mel.
L8gaclés
Yes.
No.
Nla.
GovprnmentgraDts
The tharity has received gDvemmenl grants in the rewrting p8ric
Yes.
No.
Nla"
Gift Aid rewvaLle is induded In Incotne when Iherp is a valid d8dar?lion Irotn Ihedonor.
Any GrftAid amount recovered on ? don3tion Is considpred to be part of that gift and is
tre*ed as an addition lo the same lund aslhp inthal don3lion unless the donor or the
lettnsol kne appeal have specffie¢ olherwd5e.
Tax Nclalm# on
donaUons and glfts
Ye5"
Nla"
¢ontr4ctual income and This Is only Included In the SOFA onts the charity has provided the related goods or
pèrformèncè r•kntèd
seNitts or mel the performance related condibDns.
grants
Ye8"
No"
Nla"
Yes.
No.
Nla"
Donated gr>Dds
DOrna￿d goods are wsured alfalr v41￿ (the8m￿nt￿￿hlCh the 8$sel￿￿ be
ex¢hangedl unles$ Impr8Ctl¢al to do $0.
The wstol any stock of goDds donated lordistnbution to bpnehGi3ries Is deetned to bp
the lair value of those gifts?t the btne ollheirreceipt3nO they3re reGrynised on receipt.
In the rewrting penod In whith the 5to&s are ¢isknbuted. they ar8 r8cognised ¥S an
expense31 the car￿ng of the slwks aidisknbulion.
Yes"
No.
Nla"
Donated goods for resale are M￿sUred al fair value on Inthal recognition, which 15 ihe
expected protseds fiom sale less the expected costsof sale. and recwnised in'lncome
from other tradin9 activitses. with theeorrespondin9 stock recognised In the balance
sheet. On Ils Sa￿thev81￿e0f stock Is charged a9ainst'lncome from othertrading
activities. and the pr[K￿d5 from sale are also recognised as'lncome from olherlrading
activities..
Yes"
No.
Nla"
Goods donated foroTr-wng use by the charityare recognised as tanY1b￿fiXed assets
and Includ* In the SOFA as Incoming resources vthpn receivab￿.
Yes.
No.
Nla"
Gltt$ in kind for use by the CharIty8￿ in¢luded in the SOFA 8$ In¢omefrom don8bon¥
when Y¥9Va￿e.
Yes.
No.
Nla"
DoDJtfjd ￿1VICe¥ and
facIl￿e$
Donatsd servi￿& facilthes are Included in the SOFA vthen re￿l¥e0 atlhe valupof
the giftlolhe chatity provided the value olthe gift bp measured reliably.
Yes.
No.
Nla"
Donated seNices and facilibe5thal are consumed Immediately are Fwnised 35 income
with an equivalentamounl recognised as an expense underlhe appropriate heading in
the SOFA.
Yes"
No"
Nla"
Support costs
The tharity has i￿u￿red ¥xpenditureoTr supwrtcosls.
Yes.
No.
Nla"
Yes.
No.
Voluntwwp
The value olany voluntary help re￿wed Is not Included In the accounts bul Is de$L￿
in Ihelwstees, annual reporL
Nl8"
Income from interest,
roya￿•8 and dividond$
This is Included In the accountswhen re￿Ipl is pr￿a￿e and the amount receivaNe can
be measured reliably.
Ye5"
Nla"
CC17 FRS 102 SORP
1310912023

Income from mernbership Membprship sub5Gnplions ￿Ved In the nthreof a giftare recognised in Dona1K￿s
sub8¢riPtlon$
and Legacies.
Yes.
No.
Nla"
Membprship sub5GnplionswhiGh gives a fflernber the tighlto buysetvices or other
beneffts are recwnised a5 incoffle earned from the wovision of gol￿$ and seN1￿$ as
income frixn chaTitable activthes.
Ye8"
No.
Nla"
Sethmentof Insurance
¢14im¥
In$ur8nce cigim$$re only In¢lud8d in tho SOFA whèn the general rocognilion
nioria are tnet15.10 to 5.12 FRS102 SORPI and 8rÈ Includ8d a$ sn item olother
in the SOFA.
Yes"
No.
Nla"
Inv•stmfynt yaltts Athd
losses
This includes any r￿liSed or unrealised gains orlosses on the sale of investments and
anygain or1055 resulting from revaluing Inve5bnenls lo martel value atlhe end of ihe
Yes"
No.
Nla.
2.3 EXPENDITURE AND LIABILITIES
Liabilthe5 are remgnised Mthere 1115 tnore Iiketylhan notlhallhere Is a legal or
onslructive obligation cotnrnitting the tharitylo pay out resour￿& the atnounl of the
oLligalion can be rneasuredwilh reasonable certainty.
Yes.
No.
Nla.
Llabllty recognftloTh
Gtsv•man¢è and $uppDrt Supportcosls have b&n allocated bpiween g0Veman￿ costs and olher support.
Costs
Governance costs compnse all costs Involwng public accountabil￿} ollhe charity and its
compliance y￿th regulation and go￿ practice.
Supportcosls Include ￿￿traI fundions and have been alloeAled lo adivitycosl
categories on a basis consislentwith the useof resour￿5. eg alocaling propeTty costs
by￿ra￿S. or ￿er￿p1￿. staff costs bylhe time spentand olhercosts bylheirusage.
Yes.
No.
Nla"
Yes.
No.
Nla.
Gr¥ntS Mth perforTha￿￿e llthere the charity gives a granlwilh conditions fol its payment being a specif￿ level ol
condltlons
seNitt oroulpul lo be provided. such grants ale only reco9nised In the SOFA On￿the
recipient of the grant has provided the S￿￿fied SeN1￿ or oulpul.
Ye8"
No.
Nla"
Gr¥nts p•y¥ble without
performance condttlons
llthere there are no conditions attaching to the glanl that enab￿$ thedonorehayity to
realistically avimd the commitment 2 liability for the lull funding obligation Musl be
rec&Jnised.
Yes.
No.
Nla.
Rodundancy cost
The charlty made nD redundancy payments dtsnng the reKthlng ￿riOd.
Yes.
No.
Nla.
Dof•rrèd Incom•
ND materlal itsm oldeleYYed Income h£s been Induded In the account3.
Yes,
No.
Nla.
Crèdltors
The tharity has c¥edil<Jrsv4hich are Tneasured atsettletnentamounls ￿ any tradp
discounts
Yes.
No.
Nla.
A liathlity Is mè83u￿d on recOgn￿On al Ils historical costand then 3ubsequenlly
measured atlhe besteslimate oltheamounl required ID setlle the obligabon 21 the
￿￿Thg date
The charityaccounls lorbaslcfinancial Instruments on Inib81 ￿cogn￿on as per
p8ra9r2ph 10.7 FRS102 SORP Subsequent measurement is as per ￿ragraPhS 11.17
to 11 19, FRS102 SORP.
Pra￿slOn5 for Ilablllués
Yes.
No.
Nla.
Ba$1¢ fin*n¢ial
Instruments
Yes,
No.
Nla.
2.4 ASSETS
Tangible fixed assets for These are tspitali$ed If Iheytsn be for morethan ¢rEyear, and w41 atl#$l
uso by ¢harfty
Yes"
No.
Nla"
They are v£lued alcosl.
The depreciation rates and fflelhods used are disd0￿ In note 14.
The tharity has intangi￿e fix￿ assets, th* Is. notFmonetary assets that do not have
physical substance bul are identsfiable and are Contr￿1th by the cbaritylhrough custody
or ￿gaI rights. The am0rbsall¢￿ rates and methods used are disclos& In nots 15.
Intanglble ftxed assets
Ye5"
Nla"
They are v£lued alcosl.
Yes.
No.
Nla.
The tharlty has herltsge 8$8el$. that 1$, non-m¢rEtsry8ssets ￿￿th hl$loi< 8rt1$11¢,
$ienliliC, iechnolwital, geophysitsl orenvlronmentsl qu8litÈs that are held and
ma1ntsir￿d pnncipally for their tontribulion to knOwle￿e and tullure. Thè depre¢iabon
rte$ and melh¢d$ used a$ di$¢losed in note 16.
Ye8"
No"
Nla"
Hgritago •$80ts
Ye8"
No"
Nla"
They are v£lued alcosl.
Fixed aggel Invesknents In quoted shBres. traded bonds and 3imil8r Investments £re
Invpstments
Ye5"
Nla"
end. The $ame t¢abnent 1$ $p￿Ie￿ to unli$t¢d inve$fftents vnle$$ l¥ifv8lue tsnnol be
mea$ured ¢liaWy in vyhi¢h ¢8se il 1$ Me¥su￿1 81 ¢O$lle$$ Imp¥itment
Investments hdd for resale or pending Iheirsaleand cash and cash equivalents with
mattsrity dale ol les5t￿n 1 y￿r£re treated as currentassel Investments
Yes"
No.
Nla"
CC17 FRS 102 SORP
1310912023

stocks and work In
proyre$¥
Stocks held for saleas partof noTrcharitatle trade are measured althe lowerorcosl or
nel realisable value.
Yes.
No.
Nla"
Goods or Se￿1￿$ provided as wartof a charitable activiti are measured al nel reali5able
value based on Ihe Servi￿ potential provided by items ol stock.
Yes.
No.
Nl8"
Work in progress 15 valued al usl less anyf0reSe￿b￿ loss that Is Iikdyto occur on the
contrad.
Ye8"
No"
Nla"
Debtors (including trade debtQTS loans re￿wable) are measured on Inibal
recognition at settleTnentamounl afteranylrade discounts oramounl advanced bythe
harity. SubsequeDty, they are mpasured allhpcash orolher consideration expected lo
be recewed.
The tharity has IM￿tmentswhiCh it hold$ lor rtsal¥or p6nd1￿ th¥irs¥l¥ and ¢a8h and
cash 8quiv$lents with $ m8turityd*e I￿than on¥ysar. The* iA￿U￿e ¢ash on dew$it
and ¢8$h equiv¥lent$ with ¥ maturity Trl It￿& Ul8n on8ysar for inv¥stment purpos¥s
r*hprth8n to meet short-tprm ¢ash ¢Dmmitments as theytsll
Yes.
No.
Nla.
Debtors
Yes"
Currentasset Investments
No.
Nla"
Yes.
No.
Nla"
They are valued attsirvalupeKeptwhere Iheyqualityas basicfinancval Instruments.
POLICIES ADOPTED
ADDITIONAL TO OR
DIFFERENT FROM
THOSE ABOVE
NIA
CC17 FRS 102 SORP
1310912023

Section C
Notes to the account5
(conti
Note 3
Income
Restrfcted
inrom
funds
Vnr•*tri¢t•d
funds
End¢Wim*nt
fund6
Anatysis of rncom8
Total fvnd$ Prfory•ar
Don8tion8
legacie$'.
Donations and itts
Gift Aid
Le
a¢ies
General grants prOV￿e￿ by govemmenvother
chanties
Membership subs¢riptions and sponsorships
which are In substance donations
7.975
27.582
35.557
82,817
Donatsd goods, fa¢ililies and services
Other
Total
7.975
27.582
35.557
82,817
Charitabl8
activities:
Other
Total
othertrdding
activities:
Other
Totsl
Income from
investments..
Interest income
Dividend income
Rental and leasin
Other
income
Totsl
Separate
material itsm
of incorne
Totsl
Other..
Ccinversion of endowment funds Into Income
Gain on disposal Cif a tsngible fixed asset he
for ¢harit
'$ own use
Gain on disposal of a programme ￿lated
Investment
Royalties from the exploitstion of intelledual
hls
other
Totsl
TOTAL INCOME
7.975
27.582
35.557
82,817
Oih8r infomiation..
All irbcomo in tho prior y￿rWa8 unroStri¢t8d 8X¢8Pt for..
Iple•se provlde descrlptlon •nd 8mountsl
Where any ot)dowmot)tfund Is ¢onv8rt8d Into Inwne It) th8
reportlng perlod, please glve the reason for the eonverslon.
Where any endowmentfund Is converted Into In¢ome the
prior period. please give the reason for the conversion.
Within th6 incomo itèms abova tho following itoms a
materlal.. Ipleos? dlsclose the n8ture. amoynt and any pTrlor
year amountsl
CC17a IEx*ll
1310912023

This yèar Whor8 Sums originally danominatsd in foraign
¢urron¢y hav8 bgon In¢ludod In In¢oms, oxpbln tho b•$ls on
which those sums have been translated into sterling lor the
¢urr&n¢y in which th6 a¢tounts aro drawn upl.
Last ytrar Whoro Sums originally donominatad in foroigrb
¢urron¢y have bgon In¢lvdod In Income, oxpbln tho b•$ls on
which those Sums have been translated into sterling lor the
¢urrtrn¢y in which the a¢tount¥ aro drawn upl.
CC17a IEx*ll
10
1310912023

Section C
Notes to the accounts
(conti
Note 4
Analysis of receipts of government grants
This year
Des¢riplion
Government grant 1
Government grant 2
Government grant 3
Other
Total
Last year
Descrlptlon
Government grant 1
Government grant 2
Government grant 3
Other
Total
This
ear
Last
ear
Please pmvlde detalls of any
unfulfilled conditions and other
contingencies altsching to grants
that havg b8en recognlsed In Incom•.
Thi¥
ear
Last
Please give details of other forms of
govgrnmont asslstance fmm whlch
the charity has directly benefited.
CC17a (Excell
1310912023

Section C
Notes to the accounts
{conti
Note 5
Donated goods, facilities and services
This year
Last year
Seconded stsff
Use of property
Other
This year
Last year
Please provide details of the
accounting policy for the recognition
and valuation of donated goods,
facilitias and sarvicos.
Ploaso provida details of any
unfulfilled conditions and other
contingencies attaching to resources
from donated goods and services not
recognised in income.
Please give detsils of other fom)s of
Other donatad goods and s&tvicos not
recognised in the accounts, eg
contribution of unpaid volunteers.
CC17a (Exeell
12
1310912023

Section C
Notes to the accounts
Icontl
Note 6
Expenditure
Thls year
R•¥tri¢tod
income
funds
Last year
R•¥tri¢t8d
incorne
funds
Unrestricted
funds
Endowrnent
fund5
Unrestricted
funds
Endowment
funds
Analysis
Exp8nditure on rdi5ing funds..
Incuired seeking donations
Incurred seeking legacies
Incurred seeking grants
Operating membership schemes and social
lotteries
Staging fundraising events
Fudr815ing agents
Operating charity shops
Operating 8 trading cornpany undertaking
non-charitable tradin
Advertising, marketing, direct mail and
publiaty
start up costs Incurred in generating new
source of future income
Database develo
ment costs
Other tradin
activities
Investment mana
ement costs".
Portfolio mana
ement Costs
Cost of obtainin
investtnent advice
Investtnent administration costs
ro
liTrncin
costs
Rent collection
ert
re
airs and
Total funds
Total fund5
54.672
54,672
3.300
3.300
14.201
14,201
ro
Totsl expenditure on rai¥ing fund¥
3.300
3.300
14.201
54.672
68.873
Expendlture on eharltable actlvltles..
Charitable Activities including Intallation of
Water Pump, Blanket
Distribution,Thallessmia Pab"ents Treatment,
Food Packs, Relief for Flood victims in
Pakistan
16,000
16,000
53,931
53,931
Total •xpènditur• on eharitabk aetivitiès
16 000
16.Crf)O
53.931
53.931
Se
arate material item of ex
nse
Totsl
Other
Bank Char
es
Accountanc
Fees
Other Misc. Ex
enses
Le
al Cost
226
1,144
35
226
1,144
35
465
1,235
835
2.747
5.282
19,483
465
1,235
835
2.747
5,282
128,086
Totsl other expenditure
TOTAL EXPENDITURE
1,405
4,705
1.405
20,70S
16.000
108.603
CC17a (Excell
1310912023

other information=
AnalysSs of expendlture on charltable actlvltles
Thls year
Grant
funding tsf
activities
Last year
Grant
funding of
activities
Adivities
undertaken
direcuy
Support
Costs
Artivities
undertakÈn
directty
AGtivity or programme
Total thi5
year
Support
Costs
Total last
year
Other
Totsl
This year.. Where Sums originally denominated in foreign curreThcy have
been included in expenditure, explain the basis on which those sums
have been translated into 5terfing lorthe currenGy in which the
acGounts are drawn upl.
Last year.. Where 5urns originally denorninated in foreign currency have
been included in ÈxpÈnditurÈ, Èxplain the basis on which those sums
have been translated into sterflng lorthe Cul￿nCY In whlch the
accounts are drawn upl.
CC17a (Excell
14
1310912023

Section C
Notes to the accounts
leontl
Note 7
Extraordinary items
Please explaln the nature of each extraordlnary ftem occurrlng In the perlod.
This year
Last year
Description
Extraordlnary Item 1
Extraordinary item 2
Extraordinary item 3
Extraordinary item 4
Total extraordinary items
CC17a (EX￿1)
15
1310912023

Section C
Notes to the aecounts
Note 8
Funds received as agent
8.1 Please complete Ihis note rfthe charity has agreed to administer the funds of another entity as its agent. Note.. If a charity
is acting as an agent, it should not recognise the income in the Statement of FinancialActivities or the Balance Sheet.
Amount rècèlved
Amount pald out
Balancè held at ￿rIOd end
Descriptionlname of party
Related
party lyes
orNo
Thls yaar
Last year
This yaar
Last y&ar
Thls yaar
Last year
Totsl
8.2 Where a consortia orsimiTlararrangement exists whereby 2 ormore ¢haritie5 Cowoperate to achieve economies in the
purchase of gooits or service5, please disclose detsils ofanybalances outstanding behyeen anyparticipating members.
Descriptionlname of party
Balancè hèld at ￿rIOd ènd
This year
Last year
Total
CC17a (Excell
16
1310912023

Section C
Notes to the accounts
Note 9
Support Costs
Please complete this note rf the charity has analysed its expenses using activity
categorie5 and ha5 SUPPOrt costs.
This year
Raisin
funds
Activi
Activi
Activi
Grand totsl
Basis of allocation
Supportcost
exam
IDe5cribe method)
Governance
Other
Total
Last year
Supportcost
exam
Ral$lng funds
Actlvlty 1
Actlvlty 2
A¢tlvlty 3
Grand totsl
Bas1$ of allocatlon
IDe5cribe method)
Governance
Other
Total
Please provide details of the accounting policy
adopted for the apportionment of costs belween
activities and any estimation techniques used to
calculatg their apportionmont.
CC17a (EX￿1)
17
1310912023

Section C
Notes to the accounts
Note 10
Details of certain types of expenditure
Note 10.1 Fees for examination of the accounts
Please provide details of the amountpaid forany statutory extemal s¢mtiny of
accounts and otherseNices provided by your independent examiner. If nothing
was paidplease enter V, in the appropriate boxfes).
This yoar
Last yoar
Independent examinerfs f8
350
350
Assurance services other than independent examination
Tax advisory fees
other fees {for example.. financial advice. consultancy, accountancy services) paid
to the independent examiner
794
885
CC17a (EX￿1)
18
1310912023

Section C
Notes to the accounts
(cont)
Note 11
Paid employees
Please complete this note if the charity has any employees (transactions with Trustees dealt with in Note
28)
11.1 Stsff Costs
Thls year
Last year
Salaries and wages
Social security costs
Pension costs (defined contrlbutlon scheme)
Other employee benefits
Total staff costs
This year:
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
Last year:
Please provide details of expenditure on staff working for the
charity whose contracts are with and are paid by a related party
Please give details of the number of employees whose total employee benefits (excluding employer
pension costs) fell within each band of £10,000 from £60,000 upwards. If there are no such transactions,
please enter 'true' in the box provided.
No employees received employee benefits {excluding employer
pension costs) for the reporting period of more than £60.000
Band
Number of employees
This ear
Last
ear
£60.000 to £69.999
£70,000 to £79,999
£80,000 to £89,999
£90,000 to £99,999
£100,000 to £109,999
This
ear
Last
ear
Please provlde the total amount pald to key management
CC17a (Excell
19
1310912023

11.2 Average head count in the year
This year
Number
Last year
Number
The parts of the charity in which the
employees work
Total
11.3 Ex-gratla payments to employees and others {excludlng trustees)
Please complete if an ex-gratia payment is made.
Please explain the nature of the
payment
This year
Last year
Please state the legal authority or
reason for making the payment
This year
Last year
This year
Last year
Please state the amount of the payment (or value of any waiver of
a right to an asset)
CC17a (Excell
20
1310912023

11.4 Redundancy payments
Please complete if any redundancy or termination payment is made in the period.
This year
Last year
Total amount of payment
The nature of the payment (cash, asset
etc.)
This year
Last year
The extent of redundancy funding at the balance sheet date
Please state the accounting policy for any redundancy or
termination payments
CC17a (Excell
21
1310912023

Section C
Notes to the accounts
Icontl
Note 12
Defined contribution pension scheme or defined benefit scheme accounted
for as a defined contribution scheme.
12.1 Please ¢omplete this note if a defined ¢ontributign penslgn s¢heme is gperated.
This year
Last year
Amount of contrlbudons recognlsed In the SOFA as an expense
Please explaln the basls for allocatlng the Ilablllty and expense of
defined contribution pension 8cheme beh¥een a¢tivitie5 and
between restrlcted and unrestrfcted funds.
12.2 Please complete this section where the charityparticipates in a defined benefitpensign plan but
unable to ascertain its share of the underlying assets and liabilities.
Please eonfirm that although the
scheme is accounted for as a deflned
contribution plan, it IB a defined benerrt
plan.
Please provide sueh infomiation as is
available about the plan's surplus or
deficit and the irnplications. if any, for
the reportlng charlty thls year and last
year, if different
12.3 Plgas• complètg thls s8ctlon wher8 thg charltypartlclpat•s In a muftl-•mploygr dgfln8db•n•fit
pension plan thatis accounted foras a defined contribution plan.
Describe the extent to which the charity
can be Ilable to the plan for other
entities. obligations under the terms
anil conditions of the multi*mployer
plan. If this is different for last year,
provide details
Provide an explanation of how any
liability arising from an agreement with
a multl*mployer plan to fund a deficlt
has been determined. If thi$ is different
for last year, provlde detalls
CC17a (Excell
22
1310912023

Section C
Notes to the accounts
Icontl
Note13
Grantmaking
Please complete this note rfthe ¢harity made anygrants ordonation$ whi¢h in aggregate form a materialpartof
the charitable activities undertaken.
This year:
13.1 Anal
$1$ of
rants paiil lin¢luded in ¢o$t of ¢haritsble activities)
Grants to
Grants to
institutions
individua15
Anaty5i5
Support costs
Total
Actlvily or proleth 1
Actiwl
ro
ect2
e￿3
Acti￿1
ro
ect4
Totsl
Please enter"Nil- if the charity does notidentify and/or&llo¢ate support costs.
13.2 Grants made to In$titutlf>n$
Please pnwlde
de1811s of charlty$
URL.
My cha17ty has made grants to particularinstitutions thatare materialin
the context of its g*¥ntm8king. Details of the institution supported.
purpose of the grant andtotslpald to each Insfttutlon Is 8v8118ble on the
ch&rltys web sme.
Yes
No
Provlde det811$
below
Names of institution
Purpose
Total amount of
grants paid £
Tof8lgtrants to Insdtutlons In reportlng perfod
Otherun8nalysedgrents
TOTAL GRANTS PAID
CC17a IEx*ll
23
1310912023

Last year:
13.3 Analysis of grants paid lincluded in cost of charitable activitiès)
Grants to
Grants to
institutions
individuals
Analysis
Support ¢o$ts
Totsl
Activil
ro
ec11
Activil
Actiwl
ro
ect3
Activil
eth4
Total
Please enter"Nil" if the charty does notidentify andlorallocate support Costs.
13.4 Grants made to In$titutlon$
Please provide
de1811s of charltys
URL.
My cha17ty has made grants to particularinstitutions thatare materialin
the context of its g*3ntmaking. Details of the tinstitulion supported.
purpose of thegr&nt and tot&lpald to each Insfltullon Is 8v&118ble on the
charltys web slte.
Pmvide details
below
Names of institution
Purpose
Totsl amount of
rants
aid£
Totalgrants to institutions in reporting period
Otherunanaly5edgrants
TOTAL GRANTS PAID
CC17a IEx*ll
24
1310912023

Section C
Notes to the accounts
Icontl
Note 14
Tangible fixed assets
Please complgt• thls note If the chatty has any tanglble flx8dassgts
14.1 Cost orvaluation
Freohold land &
bulldlngs
Other18nd &
bulldlng8
Plant, machlnery and
motor vehlcl88
Flxtures, fittongs and
8qulpment
Totsl
At the beginning of
the year
Additions
Revaluations
Disposals
Transfers-
At 8nd of th8 y88f
14.2 Depreciation and impaimients
SL or RB (Straight
Line or Reducing
Balance)
'8a81
SLorRB
SLorRB
SLorR8
SLorRB
Rata
At beginning of the
year
Disposals
Depreciation
Impairment
Transfers"
At end of the year
14.3 Net book value
Net book value at the
beginning of the year
Net book value at the
end of the year
CC17a (Excell
25
1310912023

14A Impaimiant
rhls y•ar.- Pl8ase provld8 a dgscrlptlon of thg events and
circumstances that ledto the recognition orreversal of an
impaimlent loss.
Last year Please pmvlde a descrlpdon of the events and
circumstancés that lodto the r•cognition orrevorsal of an
impaimpent loss.
14.5 Revaluation
If an accountlng pollcy of revaluatlon Is adopted, please provlde..
Thls year
Last year
the effectlve date of the tpvaluatlon
th• nam• of Inde￿nd•nt valu•r. rfapplicablè
thg m8thods appll8dand slgnlflcantassumptlons
the carrying amount that would have been recognis•d had
the assets been carried underthe cost model.
14.6 Othar diselosur•s
This year
Last year
fl) Please state the amount of borrowlng costs, Many, capltsllsed In the
construction of tangiblo fixgdassots and tho capitalisation rato used.
(li) Pl•aso provide th• amount of contractual commllm•nts for thg acqulsltlon
of tangible fixed assets.
(iii) Detsils of the existence and carrying amounts of pmperty. plantancl
equipment to which the charityhas restricted title orthat are pledged as
sgcurlty for Ilabllltlès.
The Yransfers. row is formovements between fixecl asset categories.
. Please indicate the method of dep￿CiatiOn by Lyeleting ffte method not applicable ISL = straight line,. R8 = ￿(lucIn9 balance). Also
CC17a (Excell
26
1310912023

Section C
Notes to the accounts
(conti
Note15
Intangible assets
Please complete this note rfthe charity has any intangible assets
15.1 Cost or valuatlon
Research &
development
Patents and
trddewnarks
other
Total
Al beginning tsf the
Additions
Disposals
Revaluations
Transfers.
Al end of the year
15.2 Amortisation and impairments
"Ba515
SLorRB
SLorRB
SLorRB
SLorRB
Straight Line
I SL"lor
Reducing
Balance
I'RB'I
'Rat
At beginning of the
Disposals
Amortisalion
Impairment
Transfers.
Al end of year
15.3 Ngt book value
Net book value at the
beginning of the year
Net book value at the
end of the year
15.4 Accounting policy
Please disclose the accounting policy forintangible fixed assets including..
Reasons for choosing
amortisation rates
Policies for the recognition of any
capital development
CC178 (Excell
27
1310912023

1S.S Impalm)gnt
Thi$ year=
Please provide a description of the events and
circumstances that led lo the re¢ognltlon or
reversal of an impaimlent loss.
Last year-
Please provide a description of the gvents and
circumstances that led to the recognition or
reversal of an impaimient lo$$.
15.6 Revaluation
If an accounting policy of revaluation is adopted, please provide..
Thi5 year
Last year
the effective date of the revaluation
the name of independent valuer, rfapplicable
the method$ applied
the carrying amount that would have bèen
recognised had the assets been carried under
the Cost model.
15.7 Other disclosures
(i) If your intangible asset was acquired by way
of grant. provide value on initial recognition and
Carrylng amount of the a$$et.
fil) Details of the canying amounts of any
Intangible assets to which the charity has
restricted title or that are pledged as security for
liabilities.
(iii) Please pmvide the amount of contractual
commitments for the aCqUiTSition of intsngible
assets.
(iv) State the amount ofresearch and
development expenditure recognised as
expenditure in the year.
(v) Please detail the headings in the SOFA in
which 8 charge for amortisation of intan9ible
assets is included.
(vl) Forany materlal Intanglble assets, please
provide a description, its carrying amount and
any remaining aM0￿SatiOn period.
The Yransfers" row is for movements between fixed asset calegones.
' Please indicate the method of depreciation by deleting the method not applicable ISL straight line,. RB = reducing
balance) Also please indicate the rate of dep￿Cial￿n. for straight line, what is the anlffjcipaled lrfe of the asset (in
years)," for reducing balanGe, what Is the perGenlage deduction.
CC178 (Excell
28
1310912023

Section C
Notes to the accounts
Icontl
Note 16
Heritage assots
Pl•asè complot* this notè if th• chanty has h*ritago èssèts
16.1 General dlsclosures for all charltles holdlng herltage assets
This year
Last year
lil Explain th8 natur8 and sca18 of
herltsge assets held.
1111 Explaln the polocy for the
acquisition, preservation,
management and disposal of hèritagè
assets.
16.2 Cost orvaluation
Heritage asset
Heritage asset
Heritage asset
Heritage asset
Total
At beginning of the year
Additions
Disposals
Revaluations
Transfers-
At end ofthe year
16.3 Dèprèciation and impaimiènts
Basls
Straight Line
I'SL l or
Reducing
Balan
Rate
At beginning of the year
Disposals
Depreciation
Impairment
Transfers.
At end ol year
16A Net book value
Net book value at the beginning ol the
year
Net book value at the end of the year
CC17a (Excell
29
1310912023

16.5 Impairment
This year
Please provide a description of the events and circumstances
that led to th• recognition orrovorsal of an impaimi•nt loss.
Last year
Pleaseprovide a description of the events and ¢i￿UMstanCeS
that led to th• rgcognltlon orreversal of an ImpalnFy•nt loss.
16.6 Revaluation
If an accounting policy of ￿valUation is adopted, please pmvide..
Thls year
Last year
th• •ff•etiv• dat• of the r•vèluètion
th• namo of independènt valu•r. rfapplicablè
qu?lffj¢ations of independent valuer
the methods appliedandsignificantassumptions
any significant limitations on the valuation
18.7 Analysis of heritage assets by class or group distinguishing those at ¢ost and those at valuation
At valuation
At cost Group
Group A
Total
C8rrying amount at the beginning of the
period
Additions
Disposals
Depreciationlimpairment
Revaluation
Carrying amount at the end of period
16.8 Heritage a8¥ets Iwhere heritage assets are not re¢oignised on the balance sheet)
This year
Last year
lil Explain the Teason why heritage
ass8ts have not bèan rèeognisèd on
the balance sheet.
lill De8crrbe the significance and
nature of herltage assets.
11111 Dlsclose Infomiatlon that Is
helpful in asses$ing the value of
heritage assets.
livl Explain the reason why it is not
practlcable to obtaln a valuatlon of
heritage assets.
CC17a (Excell
1310912023

16.9 Five year summary of heritage assets transactions
2015
2014
2013
2012
2011
Purchases
Group A
Group B
Group C
Other
Donatlons
Group A
Group B
Group C
Other
IIH
Total additions
Charge for impaimient
Group A
Group B
Group C
Other
Totsl charge for Impalmient
Dlsposals
Group A- carrying amount
Group B- carrying amount
Group C
Other
Totsl dispo¥al8
CC17a (Excell
31
1310912023

Section C
Notes to the accounts
Icontl
Notè 17
Investment as8•ts
Please complete this nots if the ch8rty h85 any investmentassets.
17.1 Fixed asset8 investment8 Iplease provide for each class of inve8tmenti
Cash & ¢a8h
equl¥alot)ts
Listed
Investsngnt
prop8rt108
Social
Investmonts
Other
Total
Carrying Ifairl value at beginning of
period
Add.. addrtions lo investsnenls during
period.
Le88: disposals at carrying value
Le$$: Impairments
Add.. Rev8rsal of impairments
Addlldeductl.. transfer inlloutl in the
period
Addlldeductl- net gainll105sI on
revaluation
Carrying Ifairl value at end of year
'Plea$e spÈclfy oddltlon$ re$ultlng from
acquisitions through business combinations, if
any-
Please note that Fair Value in this context is the amount forwhich an asset could b8 exchang8d betW88n
knowlegable and willingparties in an arms length transaction. For traded secu17ties. the fairvalue is the value of
the security quoted on the London Stock Exchange Daily OfficialList orequivalent. Forotherassets where there
Is no m¥rtetprfce on a t*¥dedm¥rte¢ It Is the trustees'or value￿.￿eSt esdmate of falr value.
17.2 Please provide a breakdown of inve¥tments shown above agreeing with the balance sheet row B04
diff•r•ntiating bètwèèn thosè hèld at fair valuè and thosè h•ld at cost lèss impairm•nL
Thi8 year..
Analysis of inve¥tments
Falr valuo ai year8nd
Co8t1888 Impalmi8111
Cash or cash oquivalonts
Li$led invèstments
Investment properties
Social invesknents
other inve5trnents
Totsl
Grand totsl (Fair valuo at year ond+Co3t less impairnwntl
La8t year..
Analysis of investments
Falr value at yearend
Co$t less Impalrnient
ash or cash equivalents
Li8ted investments
Investment properties
Social irbV8Stmonts
Other Investments
Total
Grand totsl (Fair value at year end+C05t less impairmpnti
CC17a IEx*ll
32
1310912023

17.3 If your charity holds investsnent properties. please cornplete the following note..
This year
Last year
il Explain the methods and significant assumptions in
determining the fair value of inv85tsnent property held by the
charity
lill Name or independentvaluer, if applicable. and relevant
qualifications
Provlde detsll$ of any re$trl¢tlon$ on the ablllty to reallse
investment property or on th8 remittance of income or
disposal proceeds
iv) Explain any contractual obligations lor the purchase.
construction or development of inv85trnent property or for
rÈpair8. maintenance or enhantements
17.4 Please provide a breakdown of current asset investments, if applicable, agreeing with the l)alance
Analy$i8 of ¢urrent asset inve¥tments
Th18 year
Lastyear
Cash or Cash equivalents
Listed investments
Investment properties
S¢>¢ial invesbnents
Othor inv88tment8
Totsl
17.5 Guarantees
This year
Last year
Pl8888 provido details and amount of any guarantse made to
or on behalf of a third party
Name of tho entity or entities bon8fitting from those
gu8ranteÈs
Please explain how the guarantee hJrtheY8 the charitys aims
CC17a IEx*ll
33
1310912023

17.6 Concessionary loan8
Description
Thls ye¥r£
Last year£
Amount of concessionary loans made Imultiple
loans made maybe d￿clOsed￿n aggregateprovided
th41 such aggreg&llon does noi obsure slgnlll¢817t
Anfomi•tlonl.
Totsl
Descrlptlon
Th18 ye8r£
La8t yOor£
Amount of concessionary loans received Imultiple
loans receivedmaybe dNsclosedin aggregate
provldedth4t such aggregalfon does not obsure
signrficant information).
Total
This year
Lastyear
Terms and condition8 eg intsrest rats, security
provided
Value of any ¢on¢es$ionary loan$ which have
been committed but not taken up at the reporting
date
Amounts payable within 1 year
Amounts payable after more than 1 year
Amounts receivabl8 within 1 year
Amounts receivable after more than 1 year
17.7 Additional information
This
ar
Last
ear
Please provlde Informatlon about the $1gnlh¢an¢e
of investments to th8 charity's financial position
or performance eg. tem￿ and ¢ondition$ of loans
or the use of hedging to manage financial risk.
For all investments measured at fair value. the
ba8is for detsrmining the value, including any
as5urnptions applied when using a valuatio
technique.
Where a charity has provided financial a558ts as
a fomi of security, the caryiny amount of the
financial as58t pledged as security and the tsrms
and tonditions relating to Ils pledge.
For all investments m8asur8d at fair valu8, the
ba$ls for determining the value, including any
assumptions applied when using a valuation
te¢hni4ue.
Where a charity has provided financial assots as
a ftsmi of $e¢urity. the tarryiny amount of the
rinancial a88et pledged as security and the tsm
and condition5 relating to its pledge.
CC17a IEx*ll
1310912023

Section C
Notes to the accounts
Icontl
Note 18
Stocks
Please Complete thls note If the ¢harlty holds any stock Items
18.1 Please stats tha carrying amount of stock and work in progress analysad betW8en
activities.
Stock
Donatsd goods
WO￿ In
progress
For
distribution
For rasalo
For
distribution
For r&sal8
Charitabl• activitias:
Openlng
Added In perlc
Expensedln perlod
Impalred
Closlng
other trading activities..
Opening
Added In petlod
Expensedln perlod
Impair
C1051ng
Other:
Openlng
Add•d in p•riod
Expensedin period
Imp8lred
Closlng
Total thls ygar
Total previous year
This
ear
Last
ear
18.2 Please $pe¢ify the carrying amount of
any stocks plèdgèd as sècurity for liabilitias
CC17a (EX￿1)
35
1310912023

Section C
Notes to the accounts
(cont)
Note 19
Debtors and prepayments
Please complete this note if the charity has any debtors orprepayments.
19.1 Analysis of debtors
This year
Last year
Trade debtors
Prepaymènts and accrued income
Other debtors
Total
Complete 19.2 where a material debtor is recoverable more than a year after the reporting date.
19.2 DisGlosure of debtors recoverable in more than 1 year linGluded in debtors above)
This year
Last year
Trade debtors
Prepayments and accrued income
Other debtors
Total
CC17a (EX￿1)
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1310912023

Section C
Notes to the accounts
(cont)
Note 20
Creditors and accruals
Please complete this note if the charity has any creditors or accruals.
20.1 Analysis of creditors
Amounts falling due
within one year
Amounts falling due after
more than one year
This year
Last year
This year
Last year
Accruals for grants payable
Bank loans and overdrafts
45,039
50,000
Trade creditors
Payments received on account for contracts
or performance-related grants
Accruals and deferred incomè
1,134
1,235
1,235
1,130
Taxation and social security
Other creditors
Total
46,173
1,235
51,235
1,130
20.2 Deferred income
Please complete this note if the charity has deferred
This year
Last year
Please explain the reasons why income is
deferred.
Movement in deferred income account
This year
Last year
Balance at the start of the reporting pèriod
Amounts added in current period
Amounts released to income from previous periods
Balance at the end of the reporting period
CC17a (EX￿1)
37
1310912023

Section C
Notes to the accounts
(cont)
Note 21 Provisions for liabilities and charges
Please complete this note if you have included in charity expenditure any pmvisions. A provision
is made when the charity has a liability of uncertain timing or amount.
21.1 Movements in recognised provisions and funding commitment during the period
This year
Last year
Balance at the start of the reporting period
Amounts added in current period
Amounts charged against the provision in the current period
Unused amounts reversed during the period
Balance at the end of the reporting period
21.2 Please provide:
a brief description of any obligations on the
balance sheet and the expected amount and
timing of resulting payments.
This year
Last year
an indication of the uncertainties about the
amount or timing of those outflows. and
- the amount of any expected
reimbursement, stating the amount of any
asset that has been recognised for that
expected reimbursement.
This year
Last year
21.3 For any funding commitment that TS not
recognised as a liability or provision. provide
details of commitment made, the time frame
of that commitment, any perfom)ance-related
conditions and details of how the
commitment will be funded (with contracts
for capital expenditure separately identified).
21.4 Where unrestrTCted funds have been
designated to a fund commitment. please
disclose the nature of any amounts
designated and the likely timing of that
expenditure.
CC17a (EX￿1)
38
1310912023

Section C
Notes to the accounts
Icontl
Note 22 Other disclosures for debtors, creditors and other basic financial instruments
This year
Last year
22.1 Please provide information about the
significance of financial instruments {eg.
debtors. creditors. investments etc} to the
charity's financial position or performance.
for example. the temis and conditions of
loans or the use of hedging to manage
flnanclal rlsk.
22.2 If the charity has provided financial
assets as a form of security. the carrying
amount of the financial assets pledged as
security and the terms and conitions related
to its pledge should be given here.
CC17a IExcell
39
1310912023

Section C
Notes to the accounts
Icontl
Note 23 Contingent liabilities and contingent assets
23.1 Contlngent IlabSlltles
Where the charlty has contlngent Ilabllllltles, please complete the followlng sectlon unless the
P0S5ibility of their existence is remote.
This y8ar
Description of item including its legal nature.
Please descrlbe any securlty provlded In
connection to the liability.
Estirnate of financial effect
Last year
Description of item including its legal nature.
Please describe any security provided In
connection to the liability.
Estimate of financial effect
23.2 Contlngent assets
Where the charity has contingent assets, please complete the following Bection when their
exlstence Is probable
This year
Oescrlptlon of Item
Estlmate of flnanclal effect
Last year
Descrl tlon of Item
Estlmate of flnanclal effect
23.4 Other disclosures for eontingent assets andlor liabilitiès
Please provlde the followlng Informatlon where practlcable:
Thls year
Last year
Explain any uneertainti8s relating to the
amount or tlmlng of settlement., and the
pos¥ibilty of any reimbur¥ement
Where It Is not practlcal to make one or more
of these disclosures, please state this fact
CC17a (Excell
1310912023

Section C
Notes to the accounts
(cont)
Note 24 Cash at bank and in hand
This year
Last year
Short term cash investments (less than 3 months maturity date)
Short term deposits
Cash at bank and on hand
Other
Total
216,389
206,599
CC17a (EX￿1)
41
1310912023

Section C
Notes to the accounts
Icontl
Nots 25
Fair valuè of assots and liabilitias
Thls
ar
Last
ar
25.1 Please provide details of the charity's
exposure to Credit risk Ithe risk of
incurring a lo$$ due to a debtor not paying
what is owedl, liquidity risk (the risk of not
being able to meet short term financial
demands) and market rlsk (the rl$k that the
value of an Investment wlll fall due to
chanyes In the market) arlslng from
finan¢lal Instruments to whl¢h the ¢harlty
1$ expo$ed at the end rjf the ￿portIng
perlod and explaln how the ¢harlty
manages those risks.
2S.2 Plea$e glve detslls of the amount of
change in the fair value of basic flnanclal
instnjments Idebtors, creditors.
investments (see section 11, FRS 102
SORPII measured at fair value through the
SOFA that is attributable to changes in
credit risk.
CC17a (EX￿1)
42
1310912023

Section C
Notes to the accounts
(cont}
Note 26
Events after the end of the reporting period
Please complete thiTS note events (not requiring adjustment to the occounts) have occurred after the end of the
reporting periTod but before the accounts are authorised which relate to conditions that arose after the end of the
reporting period.
This year
Last year
Please provide detsils of the nature of the
event
Provide an estimate of the financial effect
of the event or a statement that such an
estlmate cannot be made
CC17a IExcell
43
1310912023

111;Il!}Ii:I
>aJ J
CL￿

CL￿ CL

Section C
Notes to the accounts
Icontl
Note 27
Charity funds Icontl
27.3 Transfers between funds
This year
Reason for transfer and where endowment is converted to income.
legal power for its conversion
Amount
Between unreslricled and
restricted funds
Between endowment and
restricted funds
Between endowment and
unrestricted funds
Last
ear
Reason for transfer and where endowment is converted to income.
legal power for its conversion
Amount
Be￿een unreslricled and
restricted funds
Between endowment and
reslricled funds
Be￿een endowment and
unrestricted funds
27.4 Designated funds
This year
Planned use
Purpose of the designation
Amount
Last year
Planned use
Purpose of the designation
Amount
CC17a IExcell
1310912023

Section C
Notes to the accounts
Icontl
Note 28
Transactions with trustees and related parties
If the charityhas any transactions with relatedparties (other than the trustee expenses explainedin guidance notes)
details of such transactions should be provided in this note. If there are no transactions to report, please enter"True" In
tho box or-Fals8- if thgrè ar• transactiorts to rèport.
28.1 Trustee remuneration and benefits
This year
None of the trustees have been paid any remuneration or received any other benefits from an
employment wlth thelr charlty or a related entlty (True or Falsel
TRUE
In th• pèriod th• charity has paid trust￿ rgmuneration andb•rt•fits. Please givo th8 amount of, and l•galauthorlty for.
ny remuneration or otherbenefits paid to a trustee by the Charity or anyinstitirtion or Company connected with it.
Amounts pald or benefit value
Lagal authority l•g
order, governing
documenti
Remuneratlon
Pension
contribution
R8dundancy
(including
loss of
officellex
Other
TOTAL
Name of trustee
Please gwe detai15 ofwhy remuneration orother
employment benefits were paid.
Wh8r• an èx gratia paym8nt has bèen mad• to a trusto•,
provide an explanatlgn ofthe natu￿ of thepayment
If a thirdparty has boèn rèimburs•d forproviding on• or
more trustees, state the nature of the paymentand
amount of the relmbursement.
State the number of trustees to whom retirement benefts
are accnilng undera defined contribution pension
schemg.
CC17a (Excell
47
1310912023

Last year
None of the trustees have been paid any remuneration OT received any other benefits from an
employmènt with thair eharity or a ralat&d èntity ITrua or Fals•l
In the periodthe charityhas paid trustees remuneration andbenefits. Please give the amount of. and lega13uthority for.
any remuneration or other benefits paid to a trustee by the charity or any institution or company connected with it.
Amounts pald or benefit value
Legal authority leg
order, governlng
do¢umentl
Remuneraiion
Pènsion
contribution
Redundancy
lincludiny
loss of
offltellex
gratla
Other
TOTAL
Name of trustee
Please glve defalls of why remun•rntlon orother
employment benefits were paid.
Where an exgratia payment has been made to a trustee,
provid8 an oxplanation of thg naturo olth•paym8nL
If a thirdparty has been reimbursed forproviding one or
more trustees, state the nature of the payment and
amount of th• rèimburs•m•nt.
State the number of trustees to whom retirement benefits
aro accruing undera defined contribution pgnsion
scheme.
28.2 Trustees. expenses
If the charity has paid trustees expenses for fulfilling theirduties, details of such transactions should be pmvidedin this
note. If them are no ￿nsactIonS to r￿Ort, ploasg •nt•r"Tru•" In thg box below. ff there are transactlons to rgport plgas•
enter"False-.
No trustee expenses have been incurred ITrue or Falsel
TRUE
Type of expenses relmburse
This year
Last year
Travel
Subsistence
Accommodation
Other Iplea5e specify)..
TOTAL
CC17a (Excell
1310912023

Please provlde the number of trustees relmbursed for expenses or who
had expenses paid by the charity
28.3 Transaction{s} with related parties
Ploasè givé dètails of any transaction undertaken by (or on bèhalf ofj the charity in which a rolatodparty has a matgrial
inte￿st, including where fvnds have been held as agentftir relatedparties. If there a￿ no such transactions. please enter
Irue'ln the box provlded.
This year
There have been no related party transactlons Sn the reportlng perlod ITrue or Falsel
TRUE
Amount$
written off
during
rèporting
eriod
Name of the trustee
or related party
Relatlonshlp
to ¢harity
Descrlptlon of the
Iran¥a¢tionlsl
Provlslon for bad debts
at period end
Amount
Balance at
period end
In ￿latiOn to the transactions above, please provide the
t•nns and condltlons. Includlng any s8curlty and thè
na￿re of anypayment f¢on$ideration) to be providedin
settlement.
Forany r•latedparty. pl8aso pmvide détails of any
guarantees given orreceived.
Last year
There have been no related party transactlons Sn the reportlng perlod ITrue or Falsel
TRUE
Arnount5
wrltten off
during
reportlng
period
Name of the trustee
or rèlat8d party
Relationship
to charity
Description of the
transactionlsl
Provlslon for bad debts
at period end
Amount
8alance at
pariod end
In r•lètion to the trènsaetions abovè. pleas• pmvide thè
ternis and ￿ndItions, including any securily and the
nature of any payment (conslderatlon) to be provldedln
settlement.
Forany r•latedparty. ploase provld8 d8talls olany
guarantees giwen orreceived.
CC17a (Excell
49
1310912023

Section C
Notes to the accounts
(cont)
Note 29
Additional Disclosures
The following are significant matters which are not covered in other notes and need to be included to
provide a proper understanding of the accounts. If there is insufficient room here, please add a
separate sheet.
Not Applicable
CC17a IExcell
50
1310912023


# **Independent examiner's report on the accounts** 

**Section A                        Independent Examiner’s Report** 

**Report to the** Charity Name **trustees/directors/** Help International Welfare Trust UK **members of On accounts for the year** 31/12/2022 **ended** 

**Charity no.:** 

1187856 Company no.: 10311783 

## **Set out on pages** 

(remember to include the page numbers of additional sheets) 

I report to the charity trustees on my examination of the accounts of the Company for the year ended **31 / 12 / 2022** . **Responsibilities and** As the charity’s trustees of the Company (who are also the directors of the **basis of report** company for the purposes of company law), you are responsible for the preparation of the accounts in accordance with the requirements of the Companies Act 2006 (“the 2006 Act”). Having satisfied myself that the accounts of the Company are not required to be audited for this year under Part 16 of the 2006 Act and are eligible for independent examination, I report in respect of my examination of your charity’s accounts as carried out under section 145 of the Charities Act 2011 (“the 2011 Act”).  In carrying out my examination, I have followed the Directions given by the Charity Commission (under section 145(5)(b) of the 2011 Act. **Independent** The company’s gross income less than £250,000 and I am qualified to **examiner's statement** undertake the examination by being a qualified member of Institute of Financial Accountants. I have completed my examination. I confirm that no material matters have come to my attention which gives me cause to believe that: • accounting records were not kept in accordance with section 386 of the Companies Act 2006; or • the accounts do not accord with such records; or • the accounts do not comply with relevant accounting requirements under section 396 of the Companies Act 2006 other than any requirement that the accounts give a ‘true and fair’ view which is not a matter considered as part of an independent examination: or •the accounts have not been prepared in accordance with the Charities SORP (FRS102). 

**October 2018** 

1 

**IER** 



I have no concerns and have come across no other matters in connection with the examination to which attention should be drawn in this report in order to enable a proper understanding of the accounts to be reached. 

* _Please delete the words in the brackets if they do not apply._ 

**Signed: Date:** 11/09/2023 

**Name:** Mr. Azam Muhammad Awan (Practising Member of IFA) 

**Relevant professional** INSTITUTE OF FINANCIALS ACCOUNTANTS (IFA) **qualification(s) or body (if any):** 

**Address:** 30 THORNDIKE 

SLOUGH, BERKSHIRE 

SL2 1SR 

## **Section B                           Disclosure** 

Only complete if the examiner needs to highlight material matters of concern (see CC32, Independent examination of charity accounts: directions and guidance for examiners). 

**Give here brief details of** N/A **any items that the examiner wishes to disclose** . 

**October 2018** 

2 

**IER** 

