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2024-12-31-accounts

REGISTERED CHARITY NUMBEK. 1200696 in NADEKr Coopers&Co Ltd Thi$dedown 8am Holcot Lane Sywdl Nonhamp¢on$hi NN6 OBG

ontents of the Flnanclal Statements Report ofthe Trnsttts Ind•￿nd￿t Examln•rf$ R•port Statement of FlnAnchl ActlYltl¢s Balanc• She•t Notes to the Flnanclal Statements Detailed Statement of Flna•Klal Atthles

MORE THAN A OETr rt of the TnJst¢i •r entled 31 DE EMBER 2024 lor the The trustee5 present their report with the financial ststements of the charrty for the year ended 31 December 2024. The tr(fftees have ado￿¢1 the pr0vi$ion$ ¢>f Accounting and Reporning by CharitieL Sutement of Recommended Practice applicabje to chariue5 pre￿rirtg thek attovrtts in accordance wt¢h the Flnancll Reporikng Standwd appllcable in the UK and Republic of Ireland (FKS 102) {dfew¥e I january 20191. OBJECTIVES AND AMITIES Qbl¢rtlves and akns The object ol the charity i5 the preventyon or reliEI of PDverty anywhere in the intluding by provKlin8 gran￿ item$ and setyKes to other charioe5 or or8ani5ation$ worknng tc* prevent or r¢ll￿e povwty. Grantmakln8 More Than a Dent ha5 been ¢subbsh¢d to ddlver prol¢us wlth a l¢ng terni impact to communr£ies in need all around the world, wth one prolett being fvnded per year. Onty proiects that offer long term benefft to comMun￿e$ art sdected and hjndrdised for. Measures are put In place to SUP￿ the projeces delNery of their obiecu¥e5 over the long terrn. STRUCTURE, GOVERNANCE AND MANAGEMENT Governln8 document The charity 15 controlkd by its governing documenL a deed of trust and ¢onstituw an unIncorpora￿d tharfry. REFERENCE AND ADMINISTRATIVE D￿AlLs Re81stered Charlty number 1200696 Prlficlpal address Naked Collee ￿rnit I I Power Road Lor¥Jon W4 SPY Truit•¢s E M H Harfson M E Harrison S G M Callathan D Kapoor Ib￿ePe￿dt￿tEXamlner Coopers&Co Ltd Thistledown Barn Holcot Lane Northampton5hire NN60BG proved by order of the board ol trustees ¢)n 2ND September 2025 •t)d signed on its behaw ty. E M H Harrison- Trnstee

Inde dert Examiher's Re rttothtTrn More th•n A Dent iThlependent ex8minerf5 reportto the trnstees of Mort than A Dtrt report to the charity tru5oes on my examination of the accounts of More than A Dent (the Trust) for the period I laNary 2024 to 31 December 2024. Ilesponslbllltles and basls of ryort As the chary trustee5 01 the Trust you are re5pon5I1le for the preparatyon of the accouDt5 in accordance with the regu4rements ofthe Chariiie5 Art 2011 Cth¢ A¢fj. I report in respett of my examination ol the Truses accounts carried out under Section 145 of the Act and in carrying out my examination I have followed all applicable Direction5 by the Charity Commi55ion under Secoon 14515)(bl of tho ACL Independent examlner's statem¢nt I have completed my ex3minatKsn. I confirm that no material matter5 have come to my attention in connection with the examination giving me cause ¢0 believe that in any rnaterRI re5pecL accountlng records were kept in re5pett of the Trust as rÉyuired by Section 130 of the ACL. or the accounts do not accord with those records,. or the accounts dts not tompty with the athicable requirements tt•ncerning the form and con￿nI of accounts set oirt In the Charities {AetouTrts and Reporns) RegukntKJn$ 2008 other than any requIrem￿l that the accounts gNe a tyue and fair View whKh s not a matter conS￿ered as part of an independent examination. I have no concer￿ and have tome atross no other matters in tonrteulofi wlth the examlnadon to which atrentlon Should be drawn in thi5 report in order w enab￿ a proptr understanding of the ac¢ounts ¢0 be w£hed. Mr K Pa￿1 The AssociatKsn of Chartered Certif￿d Accountants Cooprs&Co Ltd ThiSt￿d¢)wn Ban) Holcot Lane Sy*Yell Northarnpron5hire NN6 08G 2nd September 2025

Statement of Financial Acti¥itles 2024 2023 Total fund5 Unrestrkted fund INCOME AND ENOOWMENTS FROM Donations and Wcies 23.753 25h54 8ank interert 23,754 2&654 EXPENDITURE ON Clbaritable artivities The Alk8ra Foundation Lrd 25,654 NET INCOME 23.754 TOTAL FUNDS CARRIED FORWARD 23,754 The ntstes form ofthese finarKW Statem￿¢8

2024 vnréstric￿d fvnd Total NET CURRENT ASSErs 23,754 TOTALASSETS LESS CURRENT LIABIUTIES 23.754 NET ASSETS 23,754 FUNDS 23.754 TOTAL FUNDS 23.754 The financial st3temeTrts were apyoved by the Board olTru5tee5 and authori5ed for issue on 2Th& Septernber 2025 and were swied on its behaw br- E M H Harrison. Trustee The n¢)tss form part of these financrdl statements

ACCOUTr¥nNG POLICIES Basls of prewlng the Ilnnclal statements The financ￿1 statemenrs of the d)arity. whKh public benefi¢ entity under FRS IQ2, haye been prepared in accordance with the Charitks SORP IFRS 1021 'Accounting and ￿e￿￿Tr8 by chariti￿ Statement of Recommended PrattKe applicable to charities preparing their accounts in accordance with the Financval Reporring Standard applicable in the UK and Republic of Ire￿nd IFRS 1021 leffeetwe I january 2019}', Financial Reporting Sthndard 102 The h'nantial Rep)rtyng Standard applic2ble in the UK and Republ￿ of Ireland. and the Charrties Act 2011. The ffinancral sttemts have been prepared under the hwirlcal cost convention. IncomÈ AJI income Is reCO￿tsed in the Ststement of Financial Actylti"e5 once the chary has entsdement to the fund5, ￿ is wobable thatthè intorne wll be r£teived and the amourt can be rrEa5ured relHbty. ExPendIt￿re Llth"lities are recognised a5 eygen(kure as soon as there is a lerdl or constrKtive oblirdtion committing the chariry to that expenditure, it 15 probable that a transfer of ecor￿niC benefits will be required in setdement and the amount of the oblyiion be measured reliabty. ExpEndicure i% accounted for on an accrva15 basi5 and h45 be2n ckn55ified under headings that aggresat¢ cost ￿LIted to the ategory. whe￿ costs Cannot be diwity attrlbuted to parttuknr heathngs they have been allocated to aCtivit￿S on a basis consistent wrth the use of resources. Gran￿ offw¢d $ubiea to Cond￿0￿$ have not been met It th year end date are as a commitynent bu¢ not accrued as expenditure. The 1$ exempt from tsx on its charltable act14￿¢ Fund attountlng Ufirts¢rkted ￿n4$ can be used kn ac¢or&•ce the ¢Pwitable objectives at the d6s¢redon of the truste Reswlcted funds can onty be used for prtKulw restricted purpose5 Withln the objetts of the charlty. Restrictions ar15e when 5pecifted by the donor or when fund5 are r￿Sed for P¥￿C￿lar re5trlcted purpose5. Further eXP￿natIOn of the nature and purpose of each fund Is inC￿ded In the rK)tes w the firwic1￿ sta￿￿ents. TRUSTEES. REMUNERATION AND BENEFITS There wtrè no tru5tees' remunerdtion or other btneffts for the period tndtd 31 DÈctmbtr 2024. Trnst•w' éxp•ns•$ There were nts tnJs*es' txpenses paid frjr the p¥i¢>d ended 31 December 2024. ge5 <￿(1￿U¢d...

heF an on MOVEMENT IN FUNDS Net in fund5 31.1214 TOTAL FUNDS 23.754 21754 Net movement in intluded In the above are as folbvtt. Incoming resource5 Resources exFtnded Movement in fiJn& Unr*strirted funds General fvnd 23.754 23J54 TOTAL FUNDS 23,754 23.754 RELATED PARTY DISCLOSURES Thwe were no rdat¢d party tran5awons for the period ended 31 tkember 2024.

2W14 2023 INCOME AND ENDOWMEPM Don*tlons and lè8acl•s t>onauon5 23,753 25.654 Bank interert Total Incomlng regour 23,754 2&654 EXPENDITURE Charltable actl¥ltles Grants to institi￿ons 25,654 Total resources exFeThJed 23,754 25,654 Net income 23,754 ￿1ge doe5 not forrn part of the strtytory financial statémÈnts