REGISTERED COMPANY NUMBER.. CE021657 (England and Walosl
REGISTERED CHARifY NUMBER: 1189212
ort otth• Trust￿ and
Unaudfted Flnanclal siatsments
forth• YearEndgd 31 J
2024
anda Chlld D•v810
Mander Duffi]I
The C¥d Post Office
4143 Market Hace
Chippenhatn
Wiltshire
SN153HR

anda Child Deve
menl Su
ort
Contents ofthe Financial Statements
forihè Ye4r Ended 31 Jul 2024
Pa9e
Chaimwn's Report
Report 0ftheTn￿eS
2 to 5
stat￿￿Ont•f Fu%anclal A￿1¥11￿*
Balan¢e Sheet
Note6 to th* Flnancial Ststements
8 to 11
Detalled Statement of FIDan¢ial A¢tivits85
12

anda chld Develo
ment Su
Chalmian's Re
ltsr the YeaT Ended 31 Jul 2024
We are very gratet¥Jl f￿ all your invaluable sup[￿. dI￿￿orts prayets that anable us to continue in
looking after our spth50red chti(tren, resvjing thpm frorn hardst￿P and poverty and eduGating Ihem.
Martin Donovan, tru51ee. ha5 hatj the OPFuwnity to spend rrK¥e tinw with Peter Ss8gawa. Dlredcf at
gdom Se¢otKJary School and the chik*en here. tt has been suth g blessing k) behold what your work
and prayer ha8 helped us achieve_ Some of my favoutite lÈmes ll) the last f¢w trM)nth5 have be￿ getting ¢0
kww Ihg th￿dr￿n better al school pkym9 sorne game5 in ihe Mklays, F4aniiffj S￿ne seed LY)xe5
from the UK we brouglit with u5.
In the shorter.term, M8rtin is h￿p￿9 Petsr with sthoc4 rnalnt8na￿8ThJ repairs artd seeing rf I can input in a
larger 58ns9'. we are also investigating Ihe leasibiFty of a vrtati¢Jnal trainiig centre to teach thè young rninds
er wactiral skill5 Such a5 motor rnechanr5, ￿)rnÈ declncs. saviro. tadoring. Garpentry and j(Mnery.
Long￿ terrn aFe k)oking al st￿dary sGhLr4 takiig overa￿1 runntng the Orphanage.
Catherfnè D￿0¥an. ofTrustees

U nda Child Develo
ment Su
Re ort of the Trustees
for the Year Ended 31 Ju
2024
The trustee$ who aro also dtrector5 ofthe charity ts the purpo8es of the cL￿Pan￿¥ kt 2006, present Iheir
report wlh the financtal stalemetts of the ¢hority IOT the year ended 31 Juty 2024. The trustees have
adDpW the wovbions of A￿Ounts"n9 and ReF(Jrb"ro by Gharitps.. Statemenl ol Recommended Practice
applicab19 to chariliès weparwlg their *counts in a¢tordarK8 Wlth the Finncral Repot*n9 StaTraard
arpliczble in the UK and Repkjblic of Ir8larwJ {FRS 1021 {offècbve 1 Janu8ry 20191.
OBJECTIVES AND AcllviTIES
Objective5 and airns
The advancemeni of educat#)n and rdief of &Ksverty. harthhip. SiL*ww5 and tstress. in particular but not
exclus￿¢￿, by Ihe m&intenanc8 of ongow¥J de¥¢&¥rrf Fxcsress and safety ol the Uganda lQngdom
Secondary sthxA and Orph￿ge.
SIgnIft￿nt activltlos
The charity Makes donatio￿ to Gro4th Support Uganda knmll￿, who ¢atry (Krt agreed activiti&s on the
9round in U9anda on behalf ol lh¢ charity. wltk thÈ5 belng line the obJ"ecb"ves anLS airns of the charity.
Signrficant a¢1￿4tieS are as f(4kyws:
Supporting Ihg Nnnrr9 01 ￿l￿gdoM Seconday Sthod C*ph￿age. through Ihe prO￿$10n ol funds for
lis fixed and vanable ¢))sts and provNJw advisory managernent oversvJhL
B. Supp)rt2n9 a 5portsorship scheme forthe ￿1h￿￿j and ethjcation of the thOdr&n fi¥irKJ in Ihe Orphanage
and of the rKJn-residential thilthen 91 the sdN¥￿ are urobte to affortl fe￿ IhTw3h the provision offvnds
for their weifwe.
C. Provrding financi￿ and kgtslicaf $UPFQrt to ¢*Jor and ￿￿nerable peopkn ￿ Ihe W)¢al ¢ommuTrit*s around
the School and Orphanage.
Putsll¢ benefit
The Truslees have rea¢ and ConskIw￿ Ihe Charty Conun￿1On's gen8ral guidm on Nrt>lic benefft and
have taken it into accDUnt when Uga)da Developrnent Supporl's IUCDS'I obleclives and
actsvtties. The Truslees are satisfied that the wcrt is carried w1￿Y in pUrsi￿t ol UCDS. chantable aims
for Ihe public benefiL

U artda Chlld Dovelo
m¢nt Su
rt ofthe TN$l
lorthe Year Ended 31 Jul 2024
ACHIEVEMENT AND PERFORIAAN¢E
The charity ha5 SUPPC11ed the fiTrar￿ng ol Chikj Gr￿ Supwrt uga￿ ￿Nted to provtde an
administrative and (pera￿On￿ strUdU￿ fc* Ihe exi5tng orrknO￿ awKJ K¥igdLVll sec￿ School. This
has enabted the main xhlèvemgnts belo%Y.
1. EnstsrtrvJ all Ihe spon50rea children att￿￿ sc￿￿.
2. Making the es$8ntial eXpen￿l￿r•S in swrt ofouf boneficiari
- Paying for the treatmentof childreft affeded by malaria.
- Paying dènlal treatment fees for th* chiklren.
- Purchasing dothing for childTeA who had outgr(pwn dolhos.
- Buying mattresses for the eklerly ladies knk alier the thldren al ts orph11n￿.
3. Supporting Ihe rwj1stralil￿ of lQngdom Seconlary Sch(L4 skils cer*ficales to compty with thg change
of legislation iFt Uganda and f•litate the devek)prDerrt of wactical skil$. By the end of 2024 all O-levels
IGCSE equivalentlwill attwn two certs'ficates on wvJu5tiid skth suth as F4umbltvJ. and IT.
4. supports.ng thè 5cheduk ol WO￿ to imwove the water suppty syst￿￿ of Krodom SttoThJary Sche4)1
financialty. anrj in ￿lIdIng maintenance.
5. Supporung Ihe addiiiunal du￿n, loc*0￿ for srnn5wthip forthe addts"oTral chlh#ren.
6. Pinancino the sponso￿h1P of rKjnvresidenti￿ chihjren ift the Scluy)I wh050 larr1￿S ar8 unablè 19 afford
school fees.
7. Supporing vulnerable people vrt)o live in ts ¥irynity Secondary SCW indudkYJ the eklerfy,
young mthers and women with health wobkns.
M¢)re detaiLs on UCDS, wotk at¥J ad¥8v8mp￿ts ￿ be in ts nowsktters lavalabje on req￿St from
the Chalrpw5onl.
FINANCIAL REVJEW
Financial positron
At the close ol the year ￿ded 31 Juty 2024, there YrdS a Of￿,024 on unr+stiithd lunds. cornpared
to £5.884 at the dose ol Ihe perh)¢J. Th*è ar¢ Th) restrb*•Y fvnds fLwthe year.
Re$erves pollcy
It is the policy of tre charfty tst unreslhcted furnts have not beèn de¥nat9d for a specifc use should
bè maintained at a level of 3 ￿1hs, expendilwe. The tDAtees con&d8r that a reserve at tht& lewel will
ensure tha¢ in the event of a S￿￿￿cant dw) In ￿CoMe. the charity be able io continue th¢ charivs
curreTrt aGtivities while Gonshleration is gNen to ways in whi¢h a[1d￿0￿￿ lunts may Èe r&sed. Wth
expendiiure of £BOO per month C￿ average. the charfry has exceeded the requwed te5erve level of £2.400.
Page 3

U anda Chlld D•vo10
ent Su
ort
ort of the Trustee5
forth¢ Year Ended 31 Jul 2024
FUTURE PLAè4S
DuTing the r*xt period. we dm to conlknue lo suppcrt arbJ than￿ Chtha GroY4th SuFfLJrt Uganda Limited wth
fvitowng inits"alivès.'
a. conb.nue to maintain the upkeep ofthe Orp￿.
b. Purthasing a vehide forthe Schoc4 and Or￿ana￿.
¢. Supporting Postor GoElfrey'$ prry8cts n the ￿31 com￿Trty. supwrtirq 8&Jerfy pecF4e and
VLlnerable adults that need sur4)ortwih fcod or heatthoare.
In addition. we atso am to conlwwje vlth the frknno:
- In¢reasrng our reech in 8LfPPDrto1¥￿Trer￿kn ¢hikJren. aTra Orphan•Je.
- Inueasing Wr8p￿1p 5d￿me to mpet the needs d thè th11 dren ￿ Ihe Srkn4 and Ckphanage.
- se￿"r￿￿ potontid partnttsh(p5 with othw ¢harknes on the wnd in Uganda sirwmlar obithes ar¥J the
same ethos. 8very donath)n feathes tsrgeL
STrUCTURE. GOVERNANCE AND MANAGEM￿
Gov9rning document
Uganda Child De¥eloprnent Support is a Chathatle IncExwraled I)9anis*lL￿ ICIOI ruled by ts govuning
dwumen1 arul constitutvjn.
Recruitment and appolntsnwrt of new tTUStee$
In line with Uganda Chikj Devel(WftEnl Supp)rt's IUCDS'I constttLrti￿. new iNsteES are to be apWn1￿ for
term of th￿e years by a re5dution passe¢J at a rryerty ¢￿vene[l rneekng of the exsknng truslees. In
selecting individuaLs lor appoinlmenl as th?rity trustees. Ihe chanty trustÈÈs have regard to the $kilEs,
krM)wledge and experi8nc8 needgd lor theeffe¢tive alrroni5trdioTh of UCDS.
Olganlsaiional struciurè
UCDS. stNclure t5 ]argely gov￿Rd by 8 trtkstees aE*J the athce provided frem Mrs Katè Re85 (Honourable
Tru5teel.
Risk managemewrt
The Irusiees have a duty to aThJ revi• the ii5ks to TphbKh the is exwsed and to Ènstve
apprO￿late ¢x)ntroJ5 afe in rkn lo provhje wonabf• as￿VanCe against fraud orrty.
As a smal Gharity. we hove QwsiJe￿ the of sen¢JrwJ luTrJs &)ro&J. W$ have minimisad thesp ￿S￿S
through..
A. Setting up financial aG(twJnting system55Lknthat is mG*)iti*ed.
B. LlmitirwJ Ihe seop8 ol our &tivtbes lo rnalkr* and ￿bjali0￿s the trusiees have kn￿￿e63e of and
with local insbhl.
C. Condu¢tity due dili9enGe and r68earth Wore any new Ye￿bJ[eS.
Page 4

U anda Chlld Dev•lo
ment 5
rt tsf Ihv Trusteès
fDr the Year Ended 31 Jul 2024
REFERENCE AND ADMINISTRATIVE D￿AlLs
Reglsterpd Company number
CE021657 (England and Walasl
Regostered Clwity numb4r
189212
Reg4Sterèd lThl¢e
6 Buckthom Row
Corsham
Wiltshire
sr413 9WE
Trustees
Mrs C D(￿0Van Choir{appwted 27.4201
M J Donovan Trustee (appointed 27.4201
M M Blaikley Truslee lappointed 27.4.201
Mrs S L Blaikley Ti￿lÈe lappointed 27.4.201
Mr Slevttn Neil Pikhford {appo￿ted 14.09.22}
Mr5 Alexandia Pitc1￿0￿[ (appointed 14.09.221
Alice Nyachow Opany lappoinled 14.09221
Mr Geoffrey ￿wO Opany lappointul 14.09.221
M M Blaikley 1$ ItEaswer of the charlty.
Mrs S L BIal￿eY ts Secr8￿ oflhe £I￿rity.
Kate Ree¥ 15 an Hontyary ofthe cth"ry. l*Jt noi In an appoknte¢J tU5tee rok.
2 1.los/_Iois
Approved by Order￿ Ihe boarf of InJs1￿ c￿..... . .... . .
.. and svjned on ds bahatr ty.
onovan- Tiustee
Page 5

U anda Chli d Develo
Statsmont of Financial Aetivltips
forthe Ye
r Ended 31 Jul 2024
31.7.24
31.7.23
Total
nds
Unrestricted
lunds
NolES
IMCOME AND ENDOWMENTS FRO
Donations ané18gacies
10.696
14.317
ExpeNDfwRE ON
Charilable actlvltlas
Ch8Tltablo act￿11118* in Uga*da
otP*r
8,351
17.228
1,205
Totsl
9,556
18,212
NET INCOMEI1EXPE'.kJ￿uRE)
1.140
13.895)
RECONCILIATION OF FLINDS
Total fvnds tWOLyhtfco¥*d
5.884
9.779
TOTAL FUNDS CARRIED FORWARD
7,024
5.884
P&p6

anda Child Develo
rnent
Balance Sheet
31 Jul 2024
31.T24
un￿$￿ic18d
31.7.23
lunds
CURRENT A$s￿s
Ga5h at bank
104
6.568
cRED￿ORs
Amounts falling due %•ithn y
11.080)
16341
NET CURRENT ASSETS
TOTAL ASSETS LESS CURREKr
LIABILifiES
7,024
NET ASSETS
7.024
5,884
FUNDS
Unrestricled
7.024
TOTAL FUNDS
7.024
¢haritable conyny 15 en&d8d lo frL¥n urxler 4TT ofthe Conwsles Art 2006 ft
the y8aT ended 31 July 2024.
The member5 have not r8quir8d tha tOrnFBny lo obtsin an audit of rfs finarfwl 5taternents for the yew eTrJed
31 July 2024 tn aGcwdanc8 with 476 Comwi¢5 20
Th8 trustees acknowledge their respons1￿"1￿*es
lal
ensyrsry that the charitable company key accountiNJ rncorts Ihat rx¥DFty whh Se¢b(W￿ 386 and
387 af the Compantes 4Gt 2(￿ and
preparing financlal ststements which gNe a true aThJ lav view of the 5tato of affars of the tharitsble
company as at the end of each financi& year and of its SU￿￿$ or deficl for each fir5anLyal year in
a¢cc¥dance wilh the requirements tsf Sect￿5 3g4 and 3Y5 and which ott￿￿¥59 comply with the
requirements of the Comparu¢s 2006 relaliTrJ to ffi￿98t slatements. so far a5 applicable kn the
charitable cornpany.
Ibl
These fina￿81 st3ternenls have been prepared in aCC(*d￿ with the prowions appS**b lo dwitablg
cornpanyas $ubject to srrdl Gompanies rw"m
Th8 financial tatements were approved by the Boarrj of Titthes wthorsed tr issue on
i.J.ns}.%.o.IS....
arKI w8r8 signed on ts behHtr by.
- Trustee
ddEs
M M 81alkley- Tnjstee
les lorm partof Ihese 5tsteTrnnls
Page 7

anda Chlld Dèvelo
ent Su
Notts tothe Flnanclal Statements
or
he Year Ended 31 Jul 2024
ACCOUNTING POUCIES
Basis of preparing the financial slatements
The f￿ana81 statemenls ol Ihe charilabte company. whth 15 a publ¢ benefft entity under FRS 102,
gve been ptepared ￿ *cordance wilh the CharitE5 SORP IFRS 1021'AccountirtsJ and R8porting by
CJiaril'es'. Slatemenl of Recommended Prncts￿ applicable to chanU'es weparing th￿r aruunts in
ordarte with Ihe Finanaal Rep0￿"Trg SI￿dard ap￿tsbIe in the UK and Republic of Ireland IFRS
1021 {effeciive l January 20191.. Reporting Stsndard 102 Th? Financial Reporting Standard
applrAble in lh¢ UK and RepubliG of Irelan& Ihe Companies Act 2006. Thg finanrial stalements
have been wepared under ts hisioTw21 LY)5¢ convention.
Income
Jl income 1$ rerognised in Ihe Statement of Financial Acb¥ilies once the ha5 entilletpenl to tho
ftmd5, it is pr(*AtAe thal ¢he itKOtne wil be remea 8rn(KNIt C8n be meayJr8a reliably.
Expenditure
L*bilit￿5 arg rocognised as expenditu￿ as 5¢y)n as there is a ¢y o)nstruGtNe oblpgation
c*¥Trmitbng the charity to thai expendAute. il is probaL4e Ihat a Irdnsf¢r of e￿n0MlE beneffls w￿1 be
requlred in sellefflent and the aIn￿nt of Ihe O￿l98t¥￿ can be rrpasured reliably. Expenditure is
accounted tor on an ac¢ruaLs basis has been ¢la&sifjed U￿+r hea(finus Ihat aggregate all cost
related lo Ihe tstegory. Whére costs carfftot be d4reGty attribtrted b) headings Ihey have
been althaled io adivknes on a basis ￿th Ihe Use Df fesDurce5.
Taxation
The ¢harity is exempl from ¢￿alic￿ tox on ik th*ilthe ac*￿e%
Fund accvunting
UnrestrKfrd fvnds can be US￿ in am)rdarth ¥vilh Ihe c**itable ot4ecbves at the discrebtin of th8
trustee5.
Restrided fur￿$ call only be used for restnaed PurE￿ within Ihe objects of the chanty.
Restria￿S WI￿ S[￿fied by dcw or when fuThts are raised tor wb(x4ar reslridèd
purposes.
Further explanation of the natswe pltyp￿ ￿ each ftKKJ 15 ￿h￿ed In Ihe noles io the flnanc
slaiÈrneni&
TRUSTEES. REMUNERAnoN AND BENEFirs
There wer8 no trus1￿. re￿￿eTaI]M or other b8nelbts kjr th8 year 8nd8rt 31 Juty 2024 Th)r for the
yearended 31 2023.
There were ￿ tr￿t￿85. eywises IOT the year end&1 31 Juty 2024 nor for Ih8 year ended
31 Juty 2023.
Page 8
¢¥￿t￿lUe￿...

LJ anda Chlld D•v•l
m•nt s
Notss to the Financlaj Staiernents- contsnued
for the Year
ded 31 Jul 2024
COMPAIiATIVES FOR THE STATEIIENT OF FINAIICIAL AGnVtnES
UnreStr￿led
lund5
INCOME AND ENDOWMENTS FROII
DOnatiOr￿ •¥J leg￿leS
14.317
EXPENDITURE ON
Charitable a[￿Ville5
Charilable acbvii*s in Ugarwja
17.228
Other
Total
18.212
NEf INCOMEIIEXPENDITURE]
(3.8951
RECQNCIUAnON OF FUNDS
Told funds broughtforward
9.779
TOTAL FUNDS CARRIED FORWARD
CREDITORS.. AMOUNTS FALLING DUE bYtrHW ONE YEAR
31.724
31.723
Other trylilors
1.080
MOVEMENT IN FUND5
Net
)vement
in lurnls
At 1.823
31.7.24
Unrestslet•d funds
General fund
1.140
7.Q24
TOTAL FUNDS
5B84
1,140
7.024
Net movern￿t in fund6, itknJ8d in th8 abovÈ tre as fd1￿.
Inwnlng
Rex)ur¢es Pk¢vemenl
expended
fvnds
resources
Unrestrlcted lunds
Genoral fund
10.696
{9.5561
1.140
TOTAL FUNDS
10.696
1.140
Pa9p 9
contir¥J8d...

U andi Chlld Dèvelo
nlsu
Notes to the Financlal Staternents- continued
for the Yè r Ended 31 Ju
2024
MOVEMENT IN FUNDS- Gontinued
Gomparatlve5 for rno¥ernent in fimds
ement
in fvnds
At
31.7.23
At 1.822
Unmstrictod funds
General fund
13,8951
5,884
TOTAL FUNDS
3,8951
5.884
Compw3tNO net n￿vement in fuTh¢ts. I￿uded n the obov¢ txe a5 loknys:
IrKc￿10g
Resources
resources experKled
Ilovement
in fijnds
Unrestricled funds
GeneralfuThJ
14.317
It8.212}
13.B951
TOTAL FUNDS
14.317
182121
A cunent year 12 and pri￿ y¢ar 12 ccmbknl Fxxllon Is as lolh)ws'.
Net
DTh)vernent
in lunds
Al 1.822
31.7.24
Unrestrlcted lunds
General fund
117551
7.024
TOTAL FUNDS
A ujrronl year 12 montts and year 12 rTh)nths comtMn8d nat rrKy•ement ITr fuTrJ5. induded in the
atrx)ve are 8sfo11t￿.
Incomlr¥J Re50Lf￿ Movement
eXp￿￿l￿d
in lunds
Unrpstrictsd funds
General fund
25.013
121.T68
12,7551
TOTAL FUNDS
2S,013
2.7551
Paw 10
continu￿...

and3 Chlld D•v•lo
•nt Su
Motes to the Flnancial 51atements- ￿ntInUed
ear Ended 31
2024
RELATED PARTY DISCLOSURES
There weie no relal8d party Iransath"(xts the ye¥ eThJed 31 J￿y2024.
Ptyè11

U anda Child Ow•lo
ents
DBtziled Statement ol Flnanclal Acliv
he Year EndÈd Jul 2024
31.724
31.7.23
INCOME AND ENDOWMENTS
Donatsons and legaGies
DoTratt0Tr5
14,317
Total incamlng T•sources
10,696
14.317
EXPENDITURE
Charitablo aetivltles
Donations for children 8 a¢J￿￿ 51W*I
costs induding focwj
8.351
17.228
Supptsrt ￿Sts
Flnance
Bank charge5
125
G4wemane• co¥ts
Acco¢Jntsncyfees
1,080
Total re5wrces expe
18.212
Net In¢omel(exwnditurel
1.140
3095}
Thts page fonn part Df Ihe slthoryfinaKial 5latern￿ts
Paga 12