REGISTERED CHARITY NUMBER: 12032J8
REPORTOF THE TRUSTEES AND
UN
FINAP4CIAL STATEMENTS
FOR THE YEAR ENDED 31
b'OR
SANDCRO

SANDCROFT
cor+ii'ENTS OF THE FINAliCIAL STATEMENTS
for the
ear ended 31 Mareh 202
P#ge
Report of the Trn5tee
IDdependent Ex#min¢r'5 Report
Ststement of Finantial Aetivities
Bala￿£e Sheet
Note5 to the Finattel*l Sixtements
7 to 10

SANDCROFT
REPORT OF I'H Tr.'fRIISTEES
e8r ended 31 March 2025
The trustees who are also direc￿r$ of the ch&rity for the purposes of the Companies Aci 2006, pr¢sent their report with the fknancial
ststements of the charily for the year ended 31 N4arch 2025. Tlie trustees have adopted the provisions of Ac¥ounlitJg and Reportiijg
by Chariiie5.' Statem¢Tht of R¢cornmended Pra¢iic¢ applicable lo charities preparing thear account5 in acctsrdance wilh the Financial
Reportittg Siatjdard applicable in the IIK and Republic of Ireland {FRS 102) l¢ffective l Januar), 2019).
0￿EcTIvEs Af*'D ACTIVITIES
Obje¢tives And 8im5
The objects of the CIO ar¢..
a) the prev¢rtlion and relief of poverty, liardship or di5tr¢55 within the Dnited Kingdom by making grants to individuals, charities or
other organisation5 working lo prevent poverty and need.
b) the advanc¢ment of education within rhe u￿11¢0 Kingdom for the benefil of the publi< by assisting organisaiions 5UPPOrting the
work of ¢ducation establishmen15 or a5s0¢iaied with them.
c) the advan¢ement of the Orthodox Jeivi5h religion within the Uniied Kingdom for the b¢nefil of the public. by raising awareness
and utiderstanding of religious beliefs attd practices.
d) th¢ advancement of such other obj¢¢ts a8 are for the benefjt of the public and ar¢ chaTitable a¢¢ording to English law.
Princip•l attivities 9nd revlew
To meet its tsbje¢iives rhe Charity made grants to qualifying instltutions and individuals.
PUBLIC BENEFIT STATEMENT
Th¢ board have referred to tlie guidance contained in ihe Charity Commission's general guidance on public benefit when reviewing
the aim and 06jeetives and in plat)ning the charity'5 fu￿re activities. In particlllar, the trustees consider how planlled activiiies will
contribute to the aims and objeaiv¢s $¢t.
GraDt Making Poli¢y
In making grant5 and donations, Ihe bu$t¢es consider the rtquests made and the funds then avoilable and the impact their 8rant5 will
make achieving the charity's goals. Con$ideiation is given lo the operational efficiency and T¢PUtation of the recipient charkty and
the ability to 'make a dÈfference'.
ACHIEVEMENT AND PERFORMANCE
Cbaritable 8Ctivitie5
The irnsiees consider that the perfomiance of the charit). hos been satisfactory and look forward to incrta5¢d a¢tivity Ln the future, in
particular in supporting young people with the tools and Fesour¢¢s they need to lead fulfillin8 lives and make a Fosittve Contribution
lo society.
During the year. the charity made grants of £62,277 to institutlOll5 and ran programmes and a¢tiviiies whi¢h supported the aitns ol
the chariry.
FIN.4NCIAL REI'IEW
Financl#l positioii
Income for ihe year toiall¢d 62,880. Total expenditure amounted to £76,056. Net ¢xpendiiure for the year w¥$ £10.176.
Re$¢rves poliry
The trusiees have estsblished the level of reseNes Iihat is those ￿ndS that are freely availabl¢} that the Lharity oughi io have. Reserves
are needed io bridge the fundin& gaps between spending on aciiwilies and receiving resources through voluntary donations. However,
as the trustees only distribute fLtnds which havt been raised and have Do¢ made futtding commÈiments, they consider that the ideal
level of reserves a5 at 31 March 2025 would be appTOXltnately twclve montlis of 5UPPOrt ¢osis.
'nrestrided reserves at 31 .March 2025 were £-12024- £10,176). Thc Injstees are actively pursuing sources of funding order to
ensure thai (here ale sufficient reserves to provide financial siabiliry and flexibility, and to enable ihe charity io expand ils ￿tiVities.
Goillg ton¢¢rn
The tm5te¢s are ¢tsnfJdent that the charity will be able lo ctsniinue operaiing in the for¢se¢abl¢ futtTrr¢.
Page 2

SANDCR
REPORT OF THE TRUSTEES
for the
ear ended 31 Mar
FUTURE PLANS
The ¢harity plans io Continue io promote 11$ Core activities and will consider any oiher proj¢¢ts advancing Its objects.
STRIIL TURE, GOVERNANCE AND MANACEMENT
Governing doeument
The charity 15 a Charitable Incorporated Organisation ICIOI governed by a constiiution agreed by the Intslees and re815tered with
the Charity Conu￿]s510n on 23 May 2023.
Rtcruitment #ppointment of new tr￿Stee5
New Irustee5 are appointcd due lo their inter¢st in ihe work of the charity and their rewgnised experien¢e in sp¢cific fkeld5 which
will further support the work of Sandcroft.
New trustees are given a full induction by the director. Trnstees Can retiie when they wish as they do not servt under a fixed term of
tenur¢.
Organis*tion&l strutture
The board of trustees administers th¢ ¢harity. The board meets periodically.
Wid¢r network
Ai present Sandcroft does not consider itself part of a wid¢r network.
Risk mamagement
The trustees have a dury to identify and review the risks io whi¢h the charity is exposed and to tnsure appropriat¢ controls are in
place to provide reasonable assurance ag￿llSt fraud atHI em)r.
REFERENCE AND ADMINISTRA TIYE DETAJIS
Regi5ter¢d Ch*ri¢y number
1203218
Principal address
25 Elmcroft Cres¢¢ni
London
NWII 9TB
Trustets
Mr Y Zaiden
MT M Roberts
Independent Examiner
Mr Thurairatnam Sudar5han FCCA
0 19-20 Bourne Court
Souihend Road
Woodford Gree
Essex
IG8 8HD
Page 2

RLPORTOF THE TRIISTEES
ror the
var til
•r
h202
Ap
by order of th¢ toard of tru5tee5 On 12 September 2025 And sign¢41 on its behalf by..
Zaiden- Trustce
Page 3

IYDEPENDENT EXAMIliER'S RLPORT TO THE TRUSTEESOF
SANDCRObT
IHdependtnt examiner's report to the trustees of Sandtroft I'lht Company,)
I report to the ¢h3rity trustee% on my examination of the accounts of the Company for the year ended 31 March 2025.
Responsibilitie5 &nd b95l5 of report
As ihe charity's tr￿sleeS of the Company {and also it5 diTeclurs for the purposes of company lawl you are Te5ponsibl¢ for the
prtparation of ihe accoltnls in accordance ivith the TequircTnents of ihe C.ompani¢s Act 2006 Ilhe 2006 Act'}.
Having satisfied myself thatthe accounts of ihe Company are not re9uired to be audited underPart 16 of the 2006 Act and are eligibl¢
foT independent exgmination. I rcport in respect of my examinaiion of your charity's accounts as carri¢d out urkdeT Se¢iion 145 of the
Charities Aci 2011 (the 2011 Act'}. In ¢an7ing out my examinhtion I have followed the Direciions given by the Charity Commission
under Se¢tioJ) 14515} Ibl of the 2011 Act.
lodependent txaminer's 5t%ternent
I hav¢ ¢tsmpleied my examination. I confirm that no mattets have ¢ome to my attention in connection with the examination gtving
me cause to believe..
accountin&T record5 were not kepi in r¢sped of the Company as requird by Section 386 of the 2006 Act. or
the accounts do not accord with th05¢ r¢rord$" or
the a¢¢ollttts do not comply with the accounting requiremenis of Se¢tion 396 of the 2006 Act osher than any r¢quirem¢nt
that the arcouyjts give a tNe and fair view which is not a rnatter conskdered as part of an independent examinatlon. OT
the accounts liave not beeij prepared in accordance with the tneth()ds and principles of the Statement of Recommended
Practice for accountkng and reporting by chariiies lappli¢able to charilie5 preparing their accounts tn a¢¢ordance M'ith the
Finat)¢ial Report￿￿8 Stsndard applicable in ihe UK and Republic of Ireland IFRS 10211.
I have no o)nc¢rns and have ¢otne across no other matters in connection with the examination to whi¢h att¢ntion should be drawn in
this r¢port in order to enable a proper utLdeTStanding of the a¢¢ounis io be reached.
Mr ThuraiTatham Sudarshan FCCA
clo 19-20 Bourn¢ Court
Southend Road
Woodford Green
Essex
IG8 8HD
12 September 2025
Page 4

SAN
StATEF*lENT OF FINA Tr4C
ACI'IVITIES
eAr ended 31 March 2025
2025
Unrestricted
fund
2024
Total
funds
INCOME AP4D ENDOWMEN'TS FROM
Donations and legxies
62,880
36,880
EXPENDITURE ON
Ch&ritable actLVlties
R¢liefof poverty, advancerntnt of educaiion and r¢ligion
Support Costs
73.048
26,693
73.056
26,704
NET IEXPENDITLIRE)IINCOME
110,176)
26,704
RECONCILIATION OF FUNDS
Total fund5 brought forward
10,176
10.176
TOTAL FUNDS CARRIED FORWARD
10.176
CONTINIIING OPERATIOiYS
All income and expenditure has arisen from conliJ]uin8 activities.
The notes forni part of these financial slatemeThls
Page 5

ANDCROFT
ALANCE SHEET
31 MArth 2025
2025
Unrestricted
fund
2024
Total
fimd5
Noies
CURRENT ASSETS
Cash at bank
30,176
CREDITORS
Amounts folling due within one y¢ar
{20,0001
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRETrIT LIABILrriES
10,176
NET ASSETS
10,176
FIINDS
Unrestricted funds
TOTAL FUNDS
The financial staiemenis were approved by the Board of Truskes and authorised for issue on 12 September 2025 and were signed on
lis beha
Mr Y Zaiden - Trusl¢e
The noi¢s fom part of these financtal statemES)ts
Pag¢ 6

SANDC.ROFT
NOTESTOTHE FINANCIAL STATE
ear ended JI MArch 2025
ACCOUNrir4G POLICAES
Basis of preparing the financial statements
The financial statements of the charitable compally, i¥hich is a public benefjt entity undcr FRS 102. have b¢en prepared in
accordanc¢ with the Charities SORP ffRS 102} 'Ac¢L)unting and R¢porting Charities.. SiateTn¢nt of Recommended
Practice applicable io ¢hariti¢s preparing their accounts in ac¢oidan¢e with the Financial Reporting Standard applicable in
th¢ U'K and Republic of Iieland {FRS 1021 l¢ffeclive l January 20191,, Financial Reportin¥ Startdard 102 '1The Financial
Reporiing Standard applicable in the UK and Republic of Ireland, and the c.ompanies Act 2006. The finan¢ial stat¢ments
have b¢en prepared under the historical cost convention.
Incomt
All income is recognised the Statemeni of Financial Aetivilie5 once the chaTity has entitlement 10 the funds, il is probable
Ihai the it)¢om¢ will be received and ihe atnotsnt Can be m¢asur¢d reliably.
Expenditure
Liabili¥ies are recogni5¢d #s expendiiule as soon as there is a legal or constructive obligaiion committing ihe charity to that
exp¢nditure, tt is probable ihat a transfer of economic betjefits will be required in settlement and ihe amouDi of the obligation
can be measured reliably. Ekpenditure is accounied for on an a¢¢rnals basis and has been clas5ifJ¢d undeF headings thal
aggregate all ¢tss¢ related to ihe cote80ry. Il'here costs ranEJOt be dire¢tly attributed to particular headin8s they have been
allocated ￿ activities on a basis ¢onsistenl iviih the use ofresourc¢5.
Expenditt]re on r2i5ing funds includes the costs of all fundraising activitie5. events, non-chariiable irading actiVlll¢s. and the
sale of donated goods.
Expetlditure on Chariiable activities includes all cosis incurred by a ¢harity it) undertaking activilies that further its Charitable
zims for Ihe b¢n¢fit of its benefictarie5. including th05¢ SUPW)rt ¢tssts and ¢osts r¢lattng to the governance of the charity
apportioned to charitable activities.
Grants payable are charged to ihe 5tateEnent of fJnan¢ial a¢tivitie5 onc¢ a commstment ha5 been made io pay Ihe grant and
this has been communicated to the beneftciary or the grani hag been paid, wliicheler is earlier.
T¥xation
Th¢ ¢h2rity is considered to pass the tests sei out in Sch. 6, para. l of thc Finance Act 2010 and therefore it meets the
definition of a cha¥itabl¢ company for LW corporaiion lax puryx)s¢s. Accordingl),, the charity is potentially ex¢mpi from
taxation in respect of in¢om¢ or capital gaiThs received within Categories ¢ov¢r¢d by Pt. I I, Ch. 3 of the Corptsraiion Tax Act
2010 or s. 256 of th¢ Taxation of Charg¢abl¢ Gains Act 1992, to ihe exieni thai such income or gains are applied ¢xclusively
io charitable purpose5.
FuTbd ac¢ounting
Unrestricted funds Can be us¢d in aeeordance with the chariiable objectives ai the discretion of the trustees.
Restricted ￿ndS can ot]ly be used for panicylar r¢stricted purw>ses within the objecis ofthe Charity. Restrictions arise when
sp¢¢ified by ihe donor or lunds are iaised for partI¢￿lar restricted purposes.
Financial instruments
A financial asset or a fioan¢ial liability is Tecogni5ed only when the entity becomes a party to the contractua] provisions of
the instrumcnt. Basic financial inslrumenis are initially rccogni5ed at the amouni receivable oi payable tncluding afty rtlaied
transaction costs, unle55 the arrangemeni constitutes a fjnancing transaction. where it is re¢ogrtised ai the present value of
Ihe fuiur¢ payments discounted ai a market rate of interest for a similar debi instrurnent. Current assets and current liabilities
aTe subsequently m¢asured at the cash or other ronsideraiion expected lo be paid or received arhd not discounted.
Page 7
tonlinued...

SANDC.RO
NOTES TO THE FINANCIAL STATEttrlENTS- colltinued
for the
ear ended 31 Mwrch 2025
DONATAONS AND LEGACIES
2025
2024
Donations
36,880
CHARITABLE ACTIIIITIES COSTS
Support
costs (see
note 41
Diiect
Costs
Totals
Relicf of poverty, advancement of education and religion
7.3,048
7.1.056
Dir￿( costs includes grants to insiitutLOilS a88rc8atln8 £62.277.
SUPPORT COSTS
Fittanre
Suppon cos
TRUSTEES, REMUP4ERATION AND BENEFITS
There were no trustees. remuneration or other benefjts for the year ended 3 I Mar¢h 2025 nor for th¢ period cnded 31
March 2024.
Trustee$. expenses
There were no trusie¢s' expenses paid for the year ended 31 March 2025 nor ftsr the period ended 31 March 2024.
Page
Continued...

SAh'DCROFT
NOTES TO THE FINANCIAL STATEME%"IS-
rthe
exr ended 31 Marth 2025
ntfftnued
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
oiher ¢r¢41itor5
20,000
MOVEMENT IIY FUNDS
Net
movem¢nl
ij) funds
At
1.04.24
Ai
31.03.25
Unrestricted funds
General fund
10.176
110,176}
TOTAL FUNDS
22.634
10,176}
Net movement in funds, included in the abtsve ar¢ as follows..
Incoming
resour¢es
Resources
expended
Movement
in funds
Unr¢stri¢¢td fullds
General fvt
62.880
176.056}
{10,176)
TOTAL FUNDS
70,056
10 176}
Cornparative5 for moveJn¢nt in funds
Net
ovcnient
in funds
At
31.03.24
2i.05.23
UnrestTlCted fund5
General fund
10,176
10,176
TOTAL FUNDS
10,176
C.OTnpardiive n¢t movement in fi]nds, included in the above 8r¢ as follow5..
Incomin8
r¢S0￿ree5
Resource5
expended
Movement
in fu#ds
U￿restrICted funds
G¢n¢ral fund
36,880
{26.7041
10,176
TOTAL FUNDS
Page 9
coniinued...

SANDCROFT
NOI'ES TO THE FINANCIAL STATEMENTS- contillutd
for the
tar ended 3
RELATED PARTY DISCLOSURES
During the year, donations of £46,854 were rtceived from the wstees or Companies of ivhich they are direciors.
Page 10