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2023-03-31-accounts

Charity No. 1188373 Repairing broken lives and Communities; Restoring Hope. Isa 58v12 7 Newgale Gardens, Edgware. HA8 6JF email: harrowgrace@gmail.com

TRUSTEE’S ANNUAL REPORT AND ACCOUNTS FOR THE YEAR ENDED 31[ST] MARCH 2023

INTRODUCTION

The trustees are submitting the annual report and financial statements of the Harrow Grace Foundation for the year ending on 31st March 2023. The trustees confirm that these documents comply with the statutory requirements of the charity’s governing document and the provisions of the Statement of Recommended Practice (SORP) “Accounting and Reporting by Charities” issued in March 2005.

1.1. PUBLIC BENEFIT STATEMENT

The trustees confirm that they have complied with the duty in section 4 of the Charities Act 2011 to have due regard to the Charity Commission’s guidance on public benefit “Charities and Public Benefit”.

1.2. STRUCTURE, GOVERNANCE, AND MANAGEMENT

Status

The charity was constituted by a trust deed dated 26th February 2020 and is registered in England and Wales with charity number 1188373.

Appointment or Election of Trustees

Trustees are appointed and co-opted under the terms of the trust deed.

Policies Adopted for the Induction and Training of New Trustees

The induction process for a newly appointed trustee includes a meeting with the chair and other trustees to discuss the powers and responsibilities of the trustees.

Organisational Structure and Decision-Making

The charity is organised so that the trustees meet regularly to manage its affairs.

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1.3. OBJECTIVES AND ACTIVITIES

Advancing the education of vulnerable children and young people and relieving poverty for the public benefit by sponsoring children to receive full-time education in rural areas in Africa.

1.4. ACHIEVEMENT AND PERFORMANCE

The charity currently has six children in education. They have all made various progress in their academic studies by moving to the next class in their various schools. For example, three in primary school moved into secondary school, while the oldest among them continued his secondary boarding school education.

Trustees’ Responsibilities

The Charity Trustees shall manage the affairs of the Trust. They shall exercise their power and perform the functions in their capacity as trustees as conferred on them by the Deed.

They are responsible for keeping proper accounting records that always disclose the charity’s financial position with reasonable accuracy and enable them to ensure that the financial statements comply with the Charities Act 2011.

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INCOME AND EXPENDITURE HARROW INCOME AND EXPENDITURE HARROW GRACE FOUNDATION MARCH APRIL 2020 - MARCH 2021
Income Expenditure
Apr-15 Set Up company reg in Nigeria £410.00
Jan-16 Website Set up £399.00
Feb-16 Deposit + Faster payment £35.00
March D+F £220.00
April Faster payment £15.00
May F £15.00 Printng of Brochures £198.00
July D £20.00
Aug D+F £20.00
Sep F £15.00 Reimbursment Business Card £25.99
Oct F £15.00
Nov F £30.00
Dec F £15.00
2017
Jan F £30.00
Feb 1 Year Domain Renewal £16.92
March F £15.00
July Printng Folded A3 doubl sides £121.00
August DD BT Group £11.61
Sept DD BT Group £12.00
Oct F £5.00
Oct Direct Debit Refund £23.61
Dec F £35.00
2018
Jan SO £30.00
Feb F 1 year dimain renewal £19.99
Feb SO £30.00
March SO £30.00
April SO £30.00
May SO £30.00
June SO £30.00
July F+SO £35.00
Aug SO £30.00 Charity Registraton £150.00
Oct SO £30.00
Oct Transfer / SO £330.00
Nov D+SO £155.00 Unpaid cheque £10.00
Dec SO £30.00
2019
Jan SO £30.00
Feb SO £30.00
March SO £30.00 Web page hostng & Tech Support 115 £303.22
April SO £30.00 May £30.00
July So £30.00
July SO £30.00
Aug SO £30.00
Sep SO £30.00
Oct SO £30.00
Nov SO £15.00
Dec SO £15.00
2020
Jan SO £15.00 Wellers Charity Reg £500.00
Feb SO £15.00 Reimb DHL post £38.95
March D +SO £85.00
April SO £65.00
April Loan £580.00 Wellers Charity Reg £982.00
May SO £65.00
May Chrity Reg Refund £150.00
June SO £65.00
July SO £65.00
Aug SO £65.00
Sep SO £65.00
Oct SO £65.00
Nov SO £65.00
Dec DSO £65.00
2021
Jan SO £65.00
Feb SO £65.00
March SO £65.00
£3,223.61

£3,228.68

April SO £65.00 Refund Loan £580.00
May SO £65.00
June SO £65.00
July SO £65.00
August SO £65.00
Sept SO £65.00
Oct SO £65.00
Oct FP £100.00
Nov FP £65.00
Nov SO/FP £100.00 Refund Staf Phone £69.99
Dec SO/FP £70.00
2022
Jan SO /FP £100.00 US Dollars purchase £202.90
Jan Printng Newsleter £80.00
Feb SO/FP £95.00 Printng Newsleter £100.00

INCOME AND EXPENDITURE APRIL 2022-MARCH 2023

INCOME EXPENDITURE
26.4.22 £80.00 26.4.22 £0.00
01.6.22 £110.00 01.6.22 £0.00
01.7.22 £95.00 01.7.22 £0.00
01.8.22 £95.00 01.8.22 £0.00
01.9.22 £95.00 01.9.22 £0.00
26.9.22 £80.00 26.9.22 £0.00
01.11.22 £110.00 01.10.22 £0.00
01.12.22 £95.00 01.11.22 £0.00
28.12.22 £80.00 28.12.22 £0.00
01.2.23 £110.00 01.2.23 £0.00
01.3.23 £95.00 01.3.23 £0.00
27.3.23 £95.00 17.3.23 £0.00
Total Income £1,140.00 Total Expenditure £0.00