REGISTERED CHARITY NUMBER.. 1203024 Report of Ihe Tru5te05 and Financlal Slatements for the Perlod 11 May 2023 10 30 June 2024 for Grants for Developing
Grants for Oeveloping Cont•nts of the FInala1 Statsments for the Period 11 May 2023 to 30 June 2024 Re[ of th8 Trustees Independent Examlner's Report Statement of Flnanclal Actyvitles Statement of Financlal Posltion Noths to the Flnanclal Statements D¢talled Statement of Financial Activitios
Grants for Developlng Report of the Trusteès for the Period 11 May 2023 to 30 June 2024 The trustees present their report with the financial statemts of the charily for the period 11 May 2023 to 30 June 2024. The Irustees have adopted the provisions of knounting and Reporti by Charities.. Slatemenl of Flecommende practi applicable to chanlies preparing their accoun15 in a(Lordance with the Financid Reporting Standard applicaWe in the UK and Republic of Ireland IFRS 1021 feffee 1 January 20191. OBJECTIVES AND ACTIVITIES Objectives and aims The tnain objective of the charity is to provide advice and finanoJ grants lo refugees and migonls. The charily providES grants, items andlor s8rvi(xs to individuals in n88d 8ndlor charities other organisalK)ns working to pva)I or relieve poverty orfinan(id hardship. Activ8 projects Our main active project in this worting period wa5 our Professional Development Prograrnrn8 in Turkiye, under which we off8r gr8nts lo inuiv1¢ua who have a clear plan for Ihar professional development and can inv8St some of their own rnon&y ak)ng$iUe our 9ranl. We operale a competitive application proce55, Wrth appliG4lions s(x)red by our pand of evaluators. Furth8r inforrnation CAn be found on our website". vMw.grantsfordevdoping.co.uk. STRUCTURE, GOVERNANCE AND MANAGEMENT Governing do¢ument Tre chanly Is controlled by its governing docufflent, a deed of trust ar rrjnslilules an unin(*yporaled ¢harty. REFERENCE AND ADMINISTRATIVE DETAILS Regi5terad Charity numb8r 1203024 Princlpol ad(Ire9S 8 Trehursl Street Homerton Hackney London ES OEB Trustees R Madden lapw)inted 1115120231 Ms H Baker (appointed 1011r20241 Ms S wil.n$On {aPpted 111512023} Indep8nd8nt Examiner Parker Cavendish Chartered Accounlanls Suite 301 Stanmore Business Innovalron C8nlre Howard Road Stanrnore Middlesex HA71FW Approved by order of the board of Iruslees on 14 April 2025 and signed on its L)ehaW by.. Ms H Bakw- Tpjstee
Independent Examiner's Report to the Tr1¢¢$ of Grants for D8veloping Independent examinerfs report to the trustee$ of Grants for Developlng I report lo the charity Iruslee5 On tny exaTninalion of the accoun15 of Grants for Deve5oping {the TNstl for the perd 11 May 2023 lo June 2024. Responsibililies and basis of ptsrt As Ihe chaiity tru51ee5 of the Trusl you are responsible for the preparatK)n of the acfX)unts in aix0r<jan with Ih requIrnents of the Charities Act 2011 I'the Act'l. I report in respect of my 8KaminalK)n of the Trusf5 accounts carried out Und ectIOn 145 of the Act and in Carrying out my exarninalion I have followed all applicable DirectlOn5 given by the Charity Commis5K)n under Section 14515Xbl of the Ad. Independent examinerfs 5tatern8nt I have ¢omplet8d rny examination. I confirn th81 rK) rnaterial matters have to my atttion in connection wrth the examination giving me cause to bdieve Ihal in any tnalenal respect.. aco)unling records We r¥)t kept in resped of Ire Trust as reqUId by Seclion 130 01 the Act". or the accounts do rK)I xcorO Mrilh those records., or the accounts do not Comply wilh the applKable wuiremenls concerniro the fomi and ntent of aw)unls set out in the charit5 IAc(x)unt5 and Report51 Regulations 2008 other Ihan any requirem6FIt that the 8(wunls gwe a true and fair view which is nol a matter u)nsidered a5 part of an ind8P8ndent exarninalion. I have no concerns and have come &ross no other matters in connectKJn wrth the examination to whith attention $Uld bedrathi in this report in Order lo enable a prop8r understanding of the accnunts to be reached. Raymon¢ Rubenslein P8rker C8V8nthsh Chart8red A(xx)unt8nts Suite 301 Stanrno Business and Innovats'on Centre Howard Road Stanm Middlesex HA7 1FW 14 April 2025
Grants for Developing statement of Flnancial Activitie5 for the Period 11 May 2023 to 30 June 2024 Unre5trictEd fund Notes INCOME AND ENDOWMENTS FRO rknn81ions 8nl legaeS 25.000 EXPENDITURE ON Charitable activiti88 Governan c051s Grants Paid 1.100 2.315 Total 3.415 NET INCOME 21,585 TOTAL FUNDS CARRIED FORWARD 21.585 The not&s forrn part of Ihese finarKial stslements
Grants for Developing Statement of Flnanclal Posltlon 30 June 2024 Unreslricled fund Notes CURRENT ASSETS Cash at bank 22,665 CREDITORS Amniinls fHlliry diip. vmlhin nnp. ypAr 11.0801 NET CURRENT ASSETS 21.585 TOTAL ASSETS LESS CURRENT LIABILITIES 21.585 NET ASSETS 21.585 FUNDS Unrestr18 funds 21,585 TOTAL FUNOS 21,585 The finanaal statements wer8 approve¢1 by the Boarcl of Trustees and auth0ri58d for issue on 14 April 2025 an¢ re spned on Its behaK by.. H 8aker- Ttust The notes fomi part ol these finarrial statement5
Grants for Developlng Notes to the Financial Statements for the Perlod 11 May 2023 to 30 Jun• 2024 ACCOUNTING POLICIES Ba515 of preparing the financial statements The financial statements of the charity, whi¢h benefit entity under FRS 102. have been prepad in accordance with th8 Charities SORP IFRS 1021 'A¢counling ar Reporting by Chaftlies Statement of R8comm8nd8d Practica appliGgble to charitie8 prgparing Ihgr accounts In accor¢arKe wth Ihe Financ1 Reporting Standard applicable in the UK and Republic of Ireland IFRS 102) leff8Ctive 1 January 20191,. Financial Reporting Standard 102 'The Financial Reporting Standard applicable in th8 UK and R8publi¢ of Irdand. and the Chantses Act 2011. The Iinancial stalemenis have been pr8par8d U8r the histori(%1 cast conventi. The prinripal a(UntIrE roliaes adopted in the pparat)n of the finanaal slalements a set out bdow and hav8 been nsiSten11Y applied within the 8(wunts. Income All incorne is rwni58d in the Slalefflt of Financial Aclivilies once the charity h85 enliuemwt to the fu$, It is probable that the in(xJme wll be [1Ved and the amount can be rnea5ured reliabty. Expenditure Liabilities a recognised as expenditu as sty)n as there is a legal or (x)nslnJdive obligation committin9 the Charity lo that expgndilure. it is probable that a transfer ol ets)nwic benefits will be Quid in settlement and the amount of the obligation can tye Measu rdiabty. Expenditu Is accounted for on an accruals basis and has been classified under h8adings that aggrale all o)st related lo the category. whe costs cannot be direct4y attribu18d lo partiwlar headings Ihey have been allocated to &tNits"es on a basis cDrBislwl Trmlh the use of r&source5. Grants offered subjeel to conditions which have not been met at the yg8r dale are noted as a ccffirnitrrent but not accrLd as expenditure. Taxation Th8 charity is 8X8mpl from t8x on its chariiable tiVitIeS. Fut)d accountln9 Unrestricted funds ean be used in a(xOrdan(Wrth the charita ()ie¢tivgs al the [81K)n of the trustees. Reslricled furtts can only be US for particular restricted purpose5 Wthin th8 obi8d5 of the tharity. R8sthclions anse wf*n speafEd by the donor orwhen lun<ls are raised for particular trict wrposes. Further of the nature and purw of each fund Is IUd in the notes lo the finartial stat&nenls. TRUSTEES, REMUNERAYION AND BENEFITS There were no tru51ee5' femun8ration orolh8r tfrts for th8 period &8d 30 June 2024. Trustees. expens08 Thwe were no trustees, expenses paid for the period ended 30 June 2024. nlinu8d...
Grant5 for Developing Notes to the Flnanclal Statements- continuwl for the Period 11 May 2023 to 30 June 2024 CREDSTORS.. AMOUNTS FALLING OUE WITHIN ONE YEAR Other rxedilor5 1,080 MOVEMENf IN FUNDS Nel movernetTrt in funds Al 30.6.24 Unrestrictsd funds General furid 21,585 21.585 TOTAL FUNDS 21.585 21,585 Nd rnovement in funds, induded in the above a as lollowE'. InrnIng re50ur(xs Resour expended Movement in futK15 Unrestrictsd fund$ General fund 25,000 13,4151 21.585 TOTAL FUNDS 25.000 13,4151 21.585 RELATED PARTY DISCLOSURES Tftre were no related party Iransadions for the perK)d 8nd8d 30 June 2024.
Grants for Developing Oetalled Statement of Flnanclal A¢tivitie5 for the Period 11 May 2023 to 30 June 2024 INCOME AND ENDOWMENTS Donations and legacl¢8 nation5 25.000 Total ineoming resources 25,000 EXPENDITURE Charitable actlvltleg Grants pai 2.315 Support cost8 Finan¢$ Bank charges Govemance costs ACntanCY and I81 fees Total r850ur(Es expended 3,415 Net Incom8 21,585 This page (k)es mt form part of the slalulory financyal slalernents
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