REGisfERED CHARITY NUMBER: 1200374
and
al Sthtem
ts for
Year
March 2
DMW
Khadka Aecountoncy Services Ltd
Chan¢red A¢¢ountants
220 Th¢ Val¢
Londo
NWII 8SR

DMW TR
CoTht
for
of the Financial Statements
e Year
l Marc
25
Kepori of the Trusiees
i to 2
Indep¢ndent Examin¢rt Report
Statement of Financial Aciivili
Balan¢e Sheet
Notes to the Financiol Statement5
D¢tail¢d Siatemeni of Financial A¢tivitles
10

DMW TR
Re ort of the Trustecs
Y rEnded3l
h 2025
The Trustees PTesent their report and the ind¢peDden¢ty ¢xamined financial stat¢ment5 of fhe charity for ihe period thded
31 March 2025.The trustees havc adopted Ihe provÉsior15 of the Siaiement of Retommended Practic¢ { SORP)
"Accountitlg and Reporting by Charities" preP￿ing th¢ annual and flnancial s¢atem¢oi of the charity.
The finan¢ial statements have been prepared in accordance with a¢¢ouniin8 policies set out in the notes lo ihe accounts
ond comply with ttle charitys governing document, the Charities Aci 2011 and A¢couttcin8 and ReportinB by Charities..
Siaiemenl of Recornm¢nded practice applicable to charilies preparing accounts in a¢Cord8t￿e with the Financial
Reportin8 Standard applicable in the UK and Republic of Ircland wblished ID October 2019.
FINANCIAI. REVIEW
RE5erve$ policy
It is ihe policy of the charity to mainlain unrestricted fund5. which or¢ the fTtt reserves of thc charity. at R level which
equaics to approximately six months unre$lri¢ied expendiiure. This provides 5uificieni fijnds to eover managem¢iit and
dminislration Jnd support ¢osts.UnreslTicied fvtuls wett maintained ar this Icvel throughoui th¢ yur.
GolNg eon¢er
Th¢ financial statements have b¢¢n prepared on a going cort¢¢rn basi5 as the trusiees believe that no material
uncertainties exisi. The I￿$1¢¢S have considered Ihe level of held and the exwted lev¢1 of income and
expenditure for 12 monihs from auihorising these financial staiem¢ni$. The bud8eied income and expendilure is
S￿￿1£1¢￿t with th¢ lèvel of resery¢8 for the ch￿lty lo be able to coniinue ￿ o goin8 eoncern.
STRUC'I'UR& GOVF.RNANCE ATr4D MANAGEMENT
Covernirhg Ilocument
The charity 1$ controlled by its gov¢mhn8 documeni, A deed of trust and constitutes an urtincorporhr¢d thaTIty.
REFERb.NCE AND ADMINISTRATIVE DETAIIS
Regl$tcr¢d ChArlty numb¢r
1200374
Priticlpll #ddr¢
220 TIIE VAI.,r.
LONDON
NWII 8SR
Trustees
MrA O WblSSBRAUN
Mr M Weissbraun
Mr8 D Weissbroun
Mr I Wci$sbraun
Independent Eiaminer
N Khadka ACA FC.CA
Khadka Accouthian¢y Service5 L4d
ChArtered Accountants
220 Th¢ Val¢
London
NWII 8SR
srATEMENT OF TRUSTbF.S' RESPONSIBILITIES
The trustees art responsible for preparing lh¢ Report of the Trustees and the finan¢ial statements in accordance wilh
applicable law and United Kingdom Accounting Standards (United Kingdom Genernlly Accepted A¢￿UAling Praclice)
including FÈnancial R¢wJrting Standard 1tr2 "The Finaftcial Reporfing Standard •ppli¢abl¢ in the UK and Republic of
Ireland"
Pag¢ I

DMW TRUST
ort of the
for the Year
l March 202
STATEMENT OF TRUSTEES, RESPONSIBILITIES- eontinued
The law applicable to ¢haritie$ in England and Wales, the Charities Act 2011, Charity (Accou[￿ and Report51
Regulations 2008 and the provision5 of the trust deed requires the trustees lo pr¢pare financial 5tatemeots for each
financial y¢ar which give a Iw¢ and fair view of the Slate of affairs of the charity and of the incoming r¢$ources and
application of resources, including the income and expxndilwe, of the dwity for that period. In preparing those
rinancial slat¢m¢nts. the In￿¢¢¢$ ore requircd to
select suitabl¢ accounting poli¢i¢s and then hpply them ¢oThsistently:
observ¢ th¢ methods and principles in the Charity SORP;
make judgement5 and estim8t¢s that aTe [￿sOnab￿ and prudent:
prepare the financial siatement5 on the going con¢¢rn ba5i$ wiless it i8 inappropriote to presume tha¢ the ¢h&rity will
Continue in bu$iness.
The t￿$t¢¢5 are responsible for keeping proF¢r ac¢(wn¢in8 reeords which di%lose with reasonabl¢ a￿VrncY at any time
the finan¢ial position of the charity and to enable them to ¢nsure that the fuwicial statemefits comply with the Charities
Act 2011, the Charity (A¢¢ounts and Reports) R¢guiJliotLS 2008 and the provision5 of the trust deed. They Are Also
responsible for 58feguarding lh¢ assets of the chariry and hence for thking r¢asonpbl¢ step for the pr¢v¢n¢ion and
detection of fraud and other irregul4rili¢s.
Approved by order of the boArd of tru51¢es M 9 Fetrfuary 2026 ond sigrted on its behalf by..
Iv.
Mr M Weissbr4uTh. Trustee
Page 2

endefftt Examin&s R¢
MW TRUST
rttotheT ieesof
Independ¢nt examiner's report to th¢ trustets of DMW TRUST
S report to the charity Inisttts on my examination of the accounts of DMW TRUST (the T￿￿t) for the y¢ar ended
31 March 2025.
Respoth$lbillties bA5is or r¢porl
As the charity ITusi¢es of the Trust you ar¢ responsib￿ for the preparniion of the accounts in accordan¢e with the
requiremet51S of the Charities Act 20111'th¢ Act.).
I report in respect of my examination of the Tru5t'5 accounts carried ow un(kr Section 145 ofthe Act and in eanying out
my examinaiion I have followed all applicable r)ire¢iions 8iv¢n by the Charity Commission under Section 145(51(b) or
the Act.
Independent ¢X8mintr's statement
I have completed my examination. l ¢onfinn thai no mawiyl matters hav¢ come io my attention in connection with Ihe
¢x8mination giving me cause to believe th81 in any malcrial respect=
aceout)ting records were not kepi in r¢5peet of the TNs¢ 45 requiryl by Se£iion 130 of the Act. or
th¢ accounis do not accord with those re¢ords- or
the accounts do not comply with the applicable requirem¢nts t￿¢¢m1￿&the fonn cont¢nt ofaccouThls set out
in the ChArilies {Accounts and RepDris) R¢&ulation$ 2008 other thath any requirement thai the a¢￿Unts give a
true and fair Yi¢w which 15 noi a matter cot)sider¢d as part oran independent examination.
I huve no concerns and have comc a¢r055 no oiher mattern in connection with the examinAtion lo which attention should
b¢ drawn in this report order to enNbl¢ a Proper undersianding ofihe a¢¢ounts lo be reHched.
N Khadka ACA FCCA
Th¢ Inststut¢ ofchartered Account￿lS in England and Wales
Khadka Ac£ountan¢y SeTViCU Lid
Chgrtered Accountants
220 The Vole
London
NWII 8SR
9 Feimwary 2026
Page 3

DMW TRUST
statem
t of Finan¢ial Activities
foi the Year Ende
March 202
31.3.25
Unrestricted
fund
31.3.24
Total
funds
Not
INCOME AND ENDOWMENTS FROM
Donation5 and le8acies
50.000
85,002
oth￿ income
95
TotAI
50.095
85,002
EXPtr.NDITURE ON
Charit4bl¢ Activities
Donation lo charities
64.949
5,000
Other
1,076
Total
66.025
11,600
r4ET INCOMEI{F.XPENDITURE)
(15,930)
73,402
RECONCILIATION OF FUNDS
Total fijnds brought fonvard
530,425
457.023
TOTAL FUNDS CARRIED FORWARD
514,495
530.425
The notes fomi part of thts¢ financial statements

DMW TRUST
Balan
3IMa
Sheet
h 2025
31.3.25
Unr¢5tricted
fund
31.3.24
Total
furtds
Notes
FIXED ASSETS
Invcstments
457.423
457,423
CURRENT ASSETS
Debtors
Ch5h ai baDk and in hand
3.127
54,425
41,998
31,404
57,552
73,402
CREDITORS
Amounts falling due within one year
(480)
(400)
NET CURRENT ASSETS
57.072
73,(￿2
TOTAL ASSETS LFSS CURRENT
LIABILITIES
514.495
530,425
NET ASSETS
514.495
530,425
FUIYDS
Unrestricted funds..
G¢n¢TNI fund
514,495
530.425
T(YfAL FUNDS
$14,495
SJO,425
Th¢ financial statements were approved by the Board of Th￿1¢¢3 and authorijtyj for issu¢ oth 9 FebNary 2026 and were
signed on i15 behaifby=
Mr M W¢iss
Tr notc5 fom) part of thes¢ fu￿￿¢1a1 s¢atemcTIts

DMW TRUS
tes to the Financial Si
for the Year
ded31 Ma
emenis
25
ACCOUNTING POLICIES
Bas1$ of prep*YAng the fin#n¢ial slatement5
The charity constitutes a public benefit epiity a5 defined by FRS 102. The financial statements hve been
prepared in a¢cordan¢e with Accounting 8nd Reporting by Chari¢ies.' StaleEnent of Recommended PractiLe
applicable 10 ¢haritie5 preparing their accounts in accordance wilh the Financial Reporting Standard applicable
iji the Uniied Kingdom and Republic of Ireland IFRS 102), the Chariiies Aa 2011. and UK Generally Accepted
Accounting Praclice.
Tlie finan¢ial 51atemeni$ have bem prepared to give a and faiv view and have departed from ihe ChaTilies (
Accounts and Kcpvrisl Re8ulation 2008 only to Ihe extent rEquired to provide a tru¢ and fair view. This
d¢parture has involved following the Ac¢ounting and R¢p)rting by Charitie5: Statejnent of Re¢ommended
Practice applicable to charities preparing Ih¢ir aecounts in accordance with the Finan¢io1 Reporting Standard
pplicable ID ihe UK aTLd Republic of IrelatKi i$3ued in O¢tob¢r 2019.
The financial staicments ar¢ prepared on a Boing con¢¢rn b05iS Utwkr the hES￿rital convention, modified io
include ¢ert8in iletn5 ai fair value.
In¢ome re¢ognltion
All income is recogni5ed in th¢ Stitemeni of Finaftcial Aciivities ortce the ¢h8rity has entitlement to the funds, It
is probable that Ihe income will be received and the amount be me•8Utrd reliAbly.
•xp¢fldtturt
Li&biliti¢s are recogrtised as expenditure Is soon as there is a le8al or ¢on51rytlive obligation eommitting the
charity 10 ihal ¢xpendiiure, il is probabl¢ Ihat a Iransf¢r of economi¢ ￿￿erits will b¢ required in $¢ttl¢mctht and
th¢ amount of the obligaiion cyn be measwed reliably. Expendilure is accounied for on an accruals basi5 and has
be¢Th c12ssifi¢d under headings thal aggregale all cost related to the uwgory. Where costs cannol b¢ dirtcily
attributed to particulir headings ihey have been allrt&ted io ￿tI¥ll1t5 on a b951$ ¢onsisi¢nt with the u8e of
resour¢¢s.
Grants offered subjeci io conditions which hv¢ noi b¢¢n met at the y¢pr end date are noied as a ¢ommithient but
nor accrued as expenditure.
TaxAilon
'I'he charity is ¢xempt from tax on its ¢h8ritabie •ctivitiu.
FuDd aceountln8
UtJrestri¢led funds be used in 4ccordance with the charitable objeciives at ihc disc￿li0n of the Iruste¢s.
R¢strieted funds only b¢ used for particul#r restrict￿ purpos¢s within the obJ￿IS of ihe ch&rity. Resiriction¥
arise wh¢n specified by ihe donoror when ￿ndS •re raised for partiujlar r¢strictul pur￿)￿.
TRUSTEFS, REMUPIERATION AF4D BENEVIIS
There were no 1TU5tees' remuneration or other benefits for the year en(kd 31 Mgrch 2025 nor for Ihe yw ended
31 Msrch 2024.
Tru5tees' exp¢n5e
There wore no M￿tte$, exp¢nsts piid for the year etKled 31 March 2025 nor for the year ended 31 March 2024.
Page 6
continu¢d..-

W TRUST
10 the Trinan
al Slatemenis- continu
e Year Ended 31 March
for
25
COMPARATIVES FOR THE STATEMEf4T OF FINANCIAL ACTIVITIES
Unre8tri¢ted
fut
INCOME AND ENDOWMENTS FROM
Donations and legacie5
S5,￿2
EXPF.NDITURE ON
Chhritable #ctivities
Donation to charities
I i,IK)O
Other
600
Tol81
11,600
NET IP4COMK
73.402
KTr.C.ONCILIATION OTr FUNDS
Total funds bruu8hi forward
457,023
TOTAL FUNDS CARRIED FORWARD
S30,425
FIXF.D ASSFT INVESTMENTS
Fixed Asse¢ investment comprised of10 pettent holdings in the 5hir¢ capital of Ockway House iAd, a wmpany
gislered in England and Wells.
DEBTORS: AMouNfs FAI.LING DUE WITHIN OP4E YEAR
31.3.25
31.3.24
Oih¢r debtors
3,127
41.998
CREDITORS.. AMOUNTS FALLING DUE WITHIN ONE YEAR
31.3.25
31.3.24
Other ereditors
480
400
MOVEMENT IN FUNDS
Nct
movement
in funds
At
31.3.25
At 1.4.24
Unreslrlfted funds
General fund
530.425
(15,930)
514,495
TOTAL FUNDS
530,425
(15,930)
514.495
Page 7
continued..

DMW TRUST
Not¢
for
the Fina
cial Stitements-
Year Ended 31 M h 2025
inued
MOVEMENT IN FUNDS- continued
Net movement in funds. included in the above are as follows:
In¢omin8
Re50urtts
c&s ¢xpend¢d
MovEm¢nl
in fvnd5
Unrestrlcted funds
General fund
50,095
(66.025)
(15,930)
T￿rAL FUNDS
50,095
(66.025)
{15,930)
Coinpsratlvu for movement In funds
movement
in funds
At
31.3.24
At 1.4.23
Unrestrl¢¢ed funds
G¢neral fund
457,023
73,402
530,425
TOTAL FUIYDS
4S7,023
73,402
530.425
Comp&rativ¢ n¢1 movem¢nt funds. lrt¢luded in the &bov¢ ¥e as follows..
Inwmlng
resource5
Resour¢es
expended
Movement
in fijnds
Unrestrlcted funds
GeDeral fund
85,002
(11.600)
73,402
TOTAL FUNDS
85.002
{11.600)
73,402
A cunrnt y¢ar 12 monihs and prioryear 12 months wbined positi¢)n is as follows:
Nct
mov¢ment
in funds
At
31.3.25
At 1.4.23
Unrestrleled funds
General fvnd
457,023
37,472
514,495
TOTAL FUNDS
457,023
57,472
514,495
Page 8
coniinued.-.

DMW TRUST
No
es to the
the Year
in￿cial Statemertis- continued
ded31 M rch202
MOVEMENT IN FUNDS- eoTrtinu¢d
A current year 12 Tnonih$ and prioi year l2 months combined net movem¢nt in fut)ds, included in the abov¢ aye
as follow$'.
Incoming
Resources
¢xp¢nded
Move]nent
in fund$
Unrestricted fund5
CJeJeral fund
135,097
(77,625)
57,472
TOTAL FUNDS
135.097
(77,625)
57,472
RELATKD PARTY DISCLOSURFS
During ihe year omounts ow¢d by Ledek Tru51 ai 31 March 2025 amounted 10 £3.12712024 41,998>. 7Kdek
Trust is a r¢lated party as orte of the In]siee$ of the chariry. Mr Micha¢l Weissbrnun is also a tTU5tee of Z¢dek
Tn]st.
Page 9

DMW TRUST
Delailed Statement of Financial ActlVLIi
ror
he Year Ended 31 March 2025
31.3.25
31.3.24
INCOME AND ENDOWMENTS
Donalion5 legacl
Donaiions
50.000
85.002
Other incom¢
Inieresi received
95
Tolal Ineomlng r¢sollrc¢s
50.095
85,1￿2
EXPENDITURE
Charltablt aetlvltl
Grants lo inslilulions
64,949
11,000
uther
Sundrie5
36
Support costs
Governance cost5
Accounian¥y and l¢gal fees
1.040
600
TotAI resouites expended
66.025
Net (expendlturoylneome
(15,930)
73,402
This page docs not form part olthe sta(utory financial sratemeDts
Page 10