CHARITY COMMISSION
FOR ENGLAND AND WALES
Trustees, Annual Report for the period
From
2025
11 January 2024
Period start date To
Period end date
5 April
Charity name: 30 Birds Foundation UK
Charlty reglstratlon number: 1206499
Objectives and Activities
SORP reference
Summary of the purposes of
the ¢harity as set out in its
governing document
P4ra1.17
The charity's purpose is to advance the
prospects of Afghan women and girls.
primarily those who remain in Afghanistan
as well as those who have left their
homeland and are living elsewhere,
including as refugee5 or for other safety-
related reasons.
Summary ofthe main
activities in relation to those
purposes for the public
benefit, in particular, the
activities, projects or
sorvices identified in the
accounts.
Paro 1.17 and
1.19
The charity seeks to achieve its purposes by
providing. directly or indirectly, financlal and
other forms of support lo its boneficiaries.
This support includes ac￿$$ to economic
and educational opportunities, such as
mentorship
and
professional
skills
development programmes.
In addition, Ihe charity aims to preseNe,
promot8 and relieve the mental health
needs of its beneficiaries through the
provision of financial and practical support
for counselSing, resettlement assistance and
other wellbeing-focused programmes.
Statement confiming
whether the truslees have
had regard to the guidance
issued by the Charity
Commission on public
benefit
Para 1.18
The trustees have had due regard to the
guidance issued bythe Charity Commission
on public benefit when exercising their
powers and duties. The trustees consider
that the chartty's activitie5 during the year
have provided public benefit in accordance
with its charitable objectives.

Additional infomiation (optional)
You ma choose to include further statements where relevant about..
SORP refe￿nCe
The UK foundation raises funds and builds
awareness in support of its charitable
objectives and delivers its activities primarily
through grant-making. Grants are made to
partner organisations in the United States,
including the Edward Charles Foundation
and the charity's sister organisation, 30
Birds.
Para 1.38
Policy on grant making
Thesè partner organisalions are responsible
for Ihe design and delivery of day-to-day
programmes for beneficiaries. They also
oversee the implementation of safeguarding,
health
and
safety.
and
wellbeing
arrangements. in line with agreed standards
and reporting requirements. The trustees
maintain appropriate oversight to ensure ihat
funds are applied solely in furtherance of the
Charity's charitable purposes.
The charity applies its funds through a
programme of grant-making to support
activities that directly benefit its beneficiaries
and fvrther its charitable purposes. These
grants advance the charily's mission of
creating pathways for Afghan girls to live.
lead and work freely.
Para 1.38
Policy on social investment
including program related
investment
The charity is governed by four trustees, all
of whom serve in a voluntary capacity. The
trustees contribute their time, expertise and
professional advice to further the charitable
objectives of the UK foundation.
Pafa 1.38
Contribution made by
volunteers
Other

Achievements and Performance
SORP raf8rance
During the year. the activities supported by
30 Birds UK directly benefited approximately
4,500 Afghan women and gids and indirectly
benefitted approximately 22,000 in their
communities.
These activilies furthered
opportunities for beneficiaries in line with the
charity's objectives to support them lo live
and study freely.
Summary ofthe main
achievements of the charily,
identifying the difference the
charity's work has made to
the circumstances of its
beneficiaries and any wider
benefits to society as a
whole.
Pora 1.20
The programmes delivered have had a
significant positive impact on beneficiaries.
wellbeing and future prospects. Mental
health and wellbeing initiatives have helped
to improve emotional resilience and stsbility,
educalion-focused
programmes
have
strengthened longer-temi educational and
employment prospects, and leadership and
empowerment programmes have increased
setrf4onfiden￿ and supported beneficiaries
to contribute positively to their communilies
and identify independent pathways for their
futures.
Additional Informatlon (optional)
You ma
choose to include further statements where relevant aboth-
During the year, the charily made good
progress against its objectives to advance
opportunities for Afghan womgn and girls to
live. study and build independent futures.
Through grant funding provided to delivery
partners, the charity supported programmes
that directly benefited approximately 4,500
beneficiaries.
Achievements against
objectives set
Para 1.41
The charity's objective to support mental
health and wellbeing was achieved through
the delivery of counselling and wellbeing-
focused programmes, which contribuled to
improved emotional resilience and stability
among participants.
In line with its educational objectives. the
charity supported education and skills-based
programmes that enhanced access to
learning opportunities and strengthened
beneficiaries, longer-lerm prospects for
further education and employment.
The charity also mel its objedives to promote
leadership, confidence and empowerment by
SLtpporting programmes that developed se￿-
confidence, leadershi
skills and a
enc

among participants. enabling beneficiaries to
contribute positively to their communities and
to identify and pursue their own pathways for
the future.
During the year, the charity undertook
fundraising activities with the objective of
generating funds to support ils grant-making
programmes and of raising awareness of the
challenges faced by Afghan women and
girls. Fundraising activities were delivered in
a manner consistent with the charity's values
and wilh due regard to cost-effectiveness
and reputational risk.
Performance of fundraising
activilies against objectives
set
Pard 1.41
The charity mel its fundraising objectives for
the year, generating sufficient income to
support planned grant commitments and
programme delivery. Fundraising efforts also
contributed to increased awareness of the
charity's
mission
and
work
among
supporters and stakeholders, strengthening
the charity's profile and relationships for
future fundraising activity.
The trustees kept fundraising perfonnance
under review throughout the year and are
satisfied thal fundraising activities were
proportionate. effective and aligned with the
charity's charitable purposes.
NIA
Investment performance
against objeclivgs
P*8 1.41
Other

Financial Review
Review of the charity's
financial position at the end
of the period
Pard 1.21
Th8 primary source of funds in the year was
the receipt of grants from institutions
{£412,5931 and individuals1£101,265) wishing
lo support the charity's objectives.
Total expenditure in the year was £343,663. of
which £329,435 was issuing grants in line with
the charity's objectives.
The financial results for Ihe year are set out in
the allached accounts. They show a surplus
for the year of £171,127.
Statement explaining the
policy for holding resetves
stating why they are held
Para 1.22
The charity does not operate a pollcy of
holding long-tenTt unrestricted reserves.
Funds held by the charity are applied to meet
minimal UK operating costs and are otherwise
used to support grant-making to partner
organisations that further the charity's
objectives.
From time to time, the charity may hold short-
term balances to manage cash flow and to
conlrol the timing and pace of programme
growth. This enables the trustees to respond
effectively to opportunities lo expand activity
as and when appropriate. The twstees keep
this approach under regular review and are
satisfied that it supports the effective and
responsible delivery of the charity's purposes.
Amount of reserves held
Para 1.22
The charity holds £171,127 in reserves, of
which £158,627 are unrestricted and £12,500
are restricted.
Reasons for holding zero
reserves
Para 1.22
Always have
minimum requirement in the
bank to cover the UK costs of running
Details of fund materialty in
deficit
Explanation of any
uncertainties about the
charity continuing as a
oin
concern
Para 1.24
NIA
Para 1.23
NIA

Additional information (optlonal}
You ma choose to include further statements where relevant about-
The charity's principal sources of income
during the year were grants from charitable
foundations,
donations
from
individual
philanthropists and private individuals, and
income
generated
through
localised
fundraising events.
The charity's principal
sources of funds {including
any fundraising)
Para 1.47
During the year. a grant of £12.500 was
received from ZVM Rangoonwala Foundation.
This grant is lo be used towards the in-country
costs of operating the 'Cluster Educalion,
programme in Afghanistan. A further £12.500
grant is to be received in January 2026
NIA
Investment policy and
objectives including any
social investment policy
adopted
Para 1.46
The trustees have identified fundraising as a
principal risk facing the charity. As with many
charities, Ihe organisation operates in a
hallenging fundraising environment, with
external factors
including changes in US
policy relating lo international aid having the
potential to impact donor confidence and the
availability of funding.
A description of the
principal risks facing the
charity
P8ra 1,46
This risk 18 mitigated through the charity's
focus on diversifying its income sources,
mainlaining strong relalion5hips with existing
supporters, and closely monitoring fundraising
perfomiance. The trustees also ensure that
expenditure commitments are aligned with
available resources, enabling the charity to
respond prudently to changes in the extemal
funding environment.
Other

Structure, Governance and Management
Description of charity's
trusts..
Type of governing
document
Para 1.25
The charity is govemed by its constitution and is
structured as a foundation CIO
al charter
How is the charity
constituted?
le.cf l.:iiiiio.orporat8d
Para 1.25
Charitable Incorporated Organisation
Trustee selection
methods including details
of any constitutional
provisions e.g. election
to post or name of any
person or body entitled
to appoint one or more
trustees
Para 1.25
Since the charity's incorporation, no new Irustees
have been appointed. The trustees will be
appointed in accordance with the provisions set
out in the charity's constitution as and when
required.
Additional Informatlon {optlonal)
You ma
choose to include further statements wherg relevant about..
NIA
Policies and procedures
adopted for Ihe induction
and tralning of trustees
Para 1.51
The charity is governed by its board of trustees,
which has overall responsibility for the strategic
direction, governance and oversight of the
organisation. Trustees meet on a quarterly basis,
wlth additional extraordinary meetings convened
as required.
The charity's
organisational slructure
and any wider network
wilh which the charty
works
Para 1.51
All strategic decisions, including matters relating
to strategic planning, policy approval and any
amendments to the charity's conslitution, fall
within the remit of the trustees. Decisions are
made collectively and are agreed by a rnajority
vote in accordance with the charity s constitution.
The charity works with a wider network of partner
organisations to deliver its activities, while the
trustees relain ultimate responsibility for ensuring
that the charity operates in furtherance of its
charitable objectives and in compliance wilh
applicable regulatory requirements.
The charty works closely with partner
organisalions to which il makes grants in order to
monitor progress, assess impact and ensure that
funds are applied in furtherance of the charity's
objectives. Appropriale oversighl and reporting
arrangements are in place to support effective
delivery and accountability.
Relationship with any
related parties
Para 1.51

The trustees review reports from partner
organisations on a regular basis and maintain
appropriate oversight of these relationships.
Other
Reference and Administrative details
Charity name
30 Birds Foundation UK
Olher name the chari
uses
Registered charity number
1206499
Charity's principal address
clo Blencowes, 15 High Street, Brackley, Northamplonshire.
NN13 7DH

Names of the charity trustees who manage the charity
Name of person lor body)
entltled to appoint
trustee
if an
Tn45t8• name
Offieo lif any)
Dates acted If not torwhol•
year
Arabella Pollen
Baroness Frances
D'souza
nla
Mabel Rachel
Macmillan
Christa Claire
D'souza
10
12
13
14
15
16
17
18
19
20
orate trustees - names of the diredors at the date the re
Director nam•
ortwasa
roved
Name of trustees hokllng tltle to property belonging to the charity
Trustee namo
Dates acted if not for wholt
NIA

Funds held as custodian trustees on behalf of others
Description of the assets
NIA
held in this capacity
Name and objects of the
charity on whose behalf the
assets are held and how this
falls within the custodian
charity's objects
NIA
Details of arrangements for
safe custody and
segregation of such assets
frorn the CharIt￿S own
assels
NIA
Additional informatlon {optional)
Nam85 and addTesse5 of advisers (Optional information)
Type of
Name
Address
advlser
Namo of chiof executlve or names of senior staff members (Optional infomiatlon)
Exemptions from disclosure
Reason for non4isclosure of ke
ersonnel details
Other o
tional information

Declarations
The trustees declare that they hava approvod the trustees, report above.
Signed on behalf of the charity's trustoos
Slgnature(s)
6,1-P,Ii_
Full name{s}
Posltlon (eg
Secretary, Chair. etc)
Arabella Pollen
Trustee
Date
0510212026

REGISTERED COMPANY NUMBER: CE034862 (England *nd Wales)
REGISTERED CHARITY NUMBER: 1206499
REPORT OF THE TRUSTEES AND
UNAUDITED FINANCIAL STATEMEf4TS
FOR THE PEIUOD 11 JANUARY 2024 TO 5 APIUL 2025
FOR
30 BIRDS FOUNDATION UK
Bl¢neowes
55 High Street
Bra¥kl¢y
Northamptonshire
NN13 7DH

311 BIRDS FOUNDATIof4 UK
CONTENTS OF THE FINANCIAL STATEMENTS
FOR THE PERIOD 11 JANUARY 2024 TO 5 APRIL 202S
Page
Report of the Trustees
Independent Exominer's Report
StAtem¢nt of ￿nanCIal ActlTrltles
Balallce Sheet
Casb Flow Statemellt
Trlot¢s to th¢ Cash Flow Statement
Notes to the FiRoncial Stdt¢m¢nts
Detailed Stg4tement of Flnanclal Aetlvltles
io

30 BIRDS FOUNDATION UK
REPORT OF THE TRUSTEES
FOR THE PERIOD I I JANUARY 2024 TO 5 APRIL 2025
The trustees who are also directOT5 of the charity for the pu￿OseS of the Companies A¢t 2006. presettt their report with
the rtnancial statements of the charity for the period I l January 2024 to 5 April 2025. The tTUSte¢s have adopted the
provisions of Accounting at)d Reporting by Charities.. Statement of Recomimended Practsce applicable to charities
preparing th¢ir accounts iT) accordancc with thc Financial Reporting Standard applicable in the UK and Republic of
Ireland {FRS 102) Itffective l January 20191.
INCORPORATION
The iharitable was incorporated on I l January 2024.
STRATECIC REPORT
Goln# eonecrn
Th¢r¢ are no material uncertainties about the charity's ability to continue
STRUCTURE, GOVERNANCE AND MANAGEMENT
Gov¢rnlng document
The charity l5 controlled by its goveLning documenl a deed of tNst. and constiwies a litnited Co￿pany, limited by
guarantee. as defined by the CompaDi¢s Act 2006.
REFERENCE AND ADMINISTRATtVE DETAILS
Regi51ered Company number
CE034862 IEnglai)d and Wales)
R¢glsttred Charity number
1206499
Regi$teTed 0￿1¢¢
clo Blthcowes
15 High Street
Brackley
Northamptonshire
NN13 7DH
Trll5tees
Ms A R H Pollen (appointed 1.4.2024}
Ms M R Ma¢Mill&D lappointcd 1.4.20?4}
Baron&%s F D'souza (appointed 1.4.2024)
Ms C C D'souza
Independent Examffiner
Blencowe$
15 Hi¥h Street
Brackley
Nort11￿mpton5hlr¢
NN13 7DH
Report of the tn￿tees, incorporating a straiegic report apprtsved by order of th¢ board of trusiees, as the company
directors, on 5 Febn￿ry 2026 and signed on the board's behalf by..
M5 A R H Pollen- Trustee
Page I

INDEPEP4DENT EK4MINER'S REPORT TO THE TRUSTEES OF
30 BIRDS FOUNDATION UK
W¢ r¢pori to the trustCC5 on our exainination of the accounts of the 30 Birds Foundation UK ("the Charity") for the
period I l Jartuary 2024 to 5 April 2025.
Re#po￿51bIlities and basis of report
The cliaEity's trustees are responsible for the prepar&tÈoh of the accoullt5. The charity's trustees cottsider il)at an audit is
not required for this y¢ar under se¢titsn 144{2) of the Charities Act 2011 (the 2011 Actl and that an independent
Exal￿1na(IOn Is ll￿ded.
It is our responsibility to-.
examine the accounts iindcr section 145 of the Charities Act 2011.
follow thc proccdurcs laid down in the general directions given by the Charity Corllrnission under section 145{5) (b}
of the Charities Act 2011, atsd
state wh¢th¢r parti¢ular matters have come to our attention.
Basis of Independent examiDer'5 statement
Our examination was ca￿led oul in accordance with the general d]r￿tionS gÈven by the Charity Commissiott.
examinatioll includes review of the ac¢ounting records kq)t by the charity and a comparison of the accounts and
seeking explanation from the misiees concerning any sueh matters. The procedures und¢rtJken do not provide all the
¢v2dence that would bc requiied lli audiL and consequently no opinioi) is givets as to whether the accounts present a
'true and fairf view. and the report is limited tt> those matters set oui in the 5tateTnent below.
IndepeMd¢nt cxaminer'5 State￿ent
We have Completed 0￿r examination: we confim) that no material Tnatters have come to attention in connection Mryth the
examinalion giving tts eause to believe thai iii any Tnatcrial rcspect..
&ccollnttng recotds w¢r¢ not kept in rcspect of the Charity as required by section 130 of the A¢t' or
- the accounts do o(Trt a¢¢ord wtth those records: or
the accounts do t)ot comply with the appliLable requir¢ments conc¢rning the forms and Lontellt of accot]nts set out in
the Charities IAc¢tsunts and Rcports) Regulatiolls 2008 othcr than any requirement that the accounts giv¢ a'tNe and fair
vitw, which is not a tnatter consid¢r¢d as part of an Indep￿NIellt exa￿]natiOn
We have no wn¢erns and have wme across Tto otlier matters in coniiection with the examiJ)aiion to whsch attention
should be drawn in this report in Order to enablc a proper understanding of th¢ a¢ctsunts to be reacl)¢d.
Robert J Blcllcowe ACA MA CantRb
Blencowes
15 High Street
Brackley
NLlrthamptoashire
NN13 7DH
5 Febn￿ry 2026
Page 2

30 BIRDS FOUNDATION UK
STATEMENT OF FJNANCIAL ACTIVITIES
FOR THE PERIOD 11 JAf4UARY 2024 TO S APRIL 202S
Unrestticted
Restricted
fund
Total
fi￿dS
Notes
INCOME AND ENDOWMENTS FROM
Donations and legacies
501,359
12,500
513.859
Investment income
931
931
Totsl
502 290
12.500
514,790
EXPENDITURE ON
Raising fiitths
14,228
14,228
Charitable Attlvltl¢$
Graiits
329,435
329.435
Totsl
343 663
343,663
NET INCOME
158.627
12,5(K>
171,127
TOTAL FUNDS CARRIED FORWAIU)
158,627
12.500
171.127
The notes form part of Ihe8e finan¢ial statements
Page 3

30 BIRDS FOUNDATION UK
BALANCE SHEET
5 APRIL 2025
Unrestricted
fund
Restricted
fund
Total
funds
Notes
CURRENT ASSETS
Cash at bai
172,084
12.500
184.584
CREDITORS
Amounts falling due withit) one year
10
{13,457)
(13.457}
NET CURRENT ASSETS
158.627
171,127
TOTAL ASSETS LESS CURRENT
LIABILITIES
158.627
12.500
171,127
NET ASSETS
158627
12,500
171 127
Fuf4DS
Unrestricted funds
Re5trictcd funds
t58.627
12,500
TOTAL FUNDS
171.127
The charitable compai)y is entitled to exemption from audit undET Sectiott 477 of thc Companies A¢t 2006 foi the
peTiod ended 5 April 2025.
The members have not reqiiired the company ¢0 obtsiD an audit of its financi21 statements for the period cnded
5 April 2025 in ac¢ordan¢e with Sc¢tion 476 of the Cotnpanies Act 2006.
The trustees a¢knowledge their responsibilities for
la}
ensuring that the charitable coinpany keeps &ccow)ting records ihar coinply with Seetkons 386 and 387 of the
Compaiiies Act 2006 and
preparing financial stateinents which give a lrne and fair view of th¢ state of affair5 of the charitabl¢ company as
at the end of each rjrtanu1￿ year and of its surplus or defjcit lor each financi21 year itt airorildnce with tht
r¢quirement5 of Sections 394 and 395 and which othenvise comply with the requiremcnts of the Companies Act
2006 relating to financial statements, so far as appli¢abl¢ to thc chaTitabl¢ company.
Ib}
Thc financial statements weye approved by the Board of Ttuste¢s and authorised for issue on 5 Febrnary 2026 8nd wer¢
signed on its behalf by..
fyi.F,i.
A R H Poll¢n- Trustee
Th¢ noies forn) part of these fijianeial statcments
Page 4

30 BIRDS FOUNDATION UK
CASH FLOW STATEMENT
FOR THE PERIOD 11 JANUARY 2024 TO 5 APRIL 21125
Note5
Cash floiv5 from operatiDg activities
Cash generated from operations
183.653
Net cash provided by operating a¢tiviiies
183.653
Cash now$ from inv¢stlng activities
Interest reccivcd
931
Net cash provided by investing ?ctivities
931
Change in cash a￿d cash equivalent5 ill
the reporting period
Cash and tash e4￿1VIlent$ at the
beglnnlng of the re￿rtIng period
184,584
Casll and cash equivaleDt$ gt the end of
the reporting period
184584
The nott% fortn part of these financial statements
Page 5

30 BIRDS FOUNDATION UK
NOTES TO THE CASH FLOW STATEMENT
FOR THE PERIOD 11 JANUAR Y 21I24"FO S APIUL 2025
RECONCILIATION OF TrIET INCOME TO NET CASH FLOW FROM OPERATING
ACTIVITIES
Net Income for the reporting perlod (a& per the Statement of Fln4n¢ial
Attlvltles)
Adjustments for:
Intercst received
Increase in creditors
171,127
(931}
13.457
Net ta$h provided by operations
183,653
ANALYSIS OF CHANGES JN NET FUNDS
At 1111124
Cash flow
At 514125
Net casb
Cash at ()ank
184,584
184.584
184.584
184.584
Tot
184,584
184.584
Tli¢ notes ftsrni part of these financial $tat¢m¢nts
P&ge 6

3& BIRDS FOUNDATION UK
NOTES TO THE FINANCIAL STATEMENTS
FOR THE PERIOD 11 JANUARY 2024 TO 5 APRIL 21125
Accouf4TING POLICIES
Basi$ of preparillg the fiNancRal Statements
The fi￿anCIal statcments of the charitable comp8ny. whs¢h is a public benefit entity under FRS 102, have been
prepared in accordance witli the Charities SORP IFRS 1021 'A¢counting and Reporting by Charitics.. Statement
of RecoFnmeiided Practice applicable to charities preparing iheir accounts in accordance with ihe Finan¢ial
Reporting StaJdJrd applicable 2n tlie UK and Republic of ireland (FRS 102) leffe¢tive l January 2019),.
Financial Rtporti7Jg StandaTd 102 Tlie Financial Rcporting Standard appli¢able ir the UK and Rcpublic of
Iiel*nd' and the Colnpanies Act 2006. The finan¢ial statements have been prqi3red under the historical cost
convention.
Ittcome
All income is recognised in the Statement of Fi]wicial Activities once the charity h2s enlitlement to ¢he funds. li
is piobablc tha¢ the income will be iec¢ived and the amount can be measured relsably.
Expendlture
Liabilities are recogllised as exp¢nditure as soon as there is a legal or eonstructive obligation eommitting the
charity to that expenditurc, it is probable that a transfeT of economic bcn¢fEts will be required in settlement and
the amount of the obligatioii call be i]]¢a5ured reliably. Expenditllre is accounted for on at) a¢crua15 ba515 and has
been ¢lassified under headings that aggiegate all c051 Felated to the category. Wiere cosr$ cattnot be direcily
attributed to particular headings they have be￿1 allocated to activities on a basis consisteni with the use of
resources.
Grants offered.%ubjcct ti) conditions which hav¢ not been met ￿ the year end date are noted as a comn)itm¢nt but
not aCC￿ed as expejidilurc.
Taiatio
The cbarity is exempt from corporation tsx on its charitable activities.
Fund #¢¢ounting
Unrestricted fund5 can be used in accordance with the charitable objectives at the dI￿retIOn of the trustees.
Restricled funds can tsttly be u%d for particular restricted puryoses within the obje¢l$ of the chaiity.
Restriciiot)$ arise when Specified by tht donor or when fvnds are rais¢d for particular resknct¢d PUTpose5.
Further explanation of tht ]Vdture and purposc of each fut)d is included in the notes to the financial statements.
DONATIONS AND LEGACIES
Grants
513,859
Grants r¢¢eiv¢d, inrluded in the above. are as follows=
Other graThts
513,859
Page 7
continued...

30 BIRDS FOUNDATION UK
P40TES TO THE FINANCIAL STATEMENTS- conti￿lled
FOR THE PERIOD 11 jA￿'uARy 2024 TO 5 APRIL 2025
VESTMEf4T INCOME
Current account interest
931
IL41StNG FUNDS
Raising donatfons and leg&cSc$
Suppon costs
14.228
CHARITABLE ACTIVITIES COSTS
Grant
funding of
a¢tivit1¢5
(see note
61
Grants
329.435
GRANTS PAYABLE
GranÉs
329.435
During the year. the followillg grants to institutions were nude:
30 Birds Foundatloll US - £IOU,000
Edward Charle5 Foundation- £227.435
- Nove- £2.000
SUPPORT COSTS
Gov¢Tnanct
¢osts
Management
Finance
Totals
Raising donatiokns and legacies
354
AUDITORS, REMUNERATION
Other non-audit services
1,440
TRUSTEES. REMUNERATION AF4D BETrIEFITS
There were no trustees, remuneration or other benefits for the peri￿￿ ended 5 Aprtl 2025.
Tru$t¢e$' exp¢J)$e$
There were no truste¢s' expenses paid for the period ended 5 April 2025.
Pa8e 8
contÈnued...

30 BIRDS FOUNDATION UK
r4oTES TO THE FINANCIAL STATEMENTS- contInu￿d
FOR TH£ PERIOD 11 JAP*'UARY 21124 TO 5 APRIL 2025
io.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
AccTued expenses
13,457
ii.
MOVEMENT IN FUNDS
Net
movement
in ￿ndS
At
514125
UThre5tricled funds
Gciicral fund
158,627
158.627
Restricted funds
Restricted fund
12.500
12.5(K>
TOTAL FUNDS
171.127
171,127
Net mov¢m¢nt in funds, in¢lud¢d in th¢ above are as follow5..
Incomit)g
resources
Resources
expend¢d
Movement
in funds
Unrestricted fullds
Generdl fund
502,290
1343.663}
158,627
Rtstrided funds
R¢striLted fund
12.5
12.5(K)
TOTAL FUNDS
514,790
343,6631
171,127
Th¢ restricted funds relare to a grani of £12,500 which was r¢¢¢ived from ZVM Rangoonwala Foundation. This
grdnt is to be used towaFds the iii-¢ountry costs of operating the'cluster Education, prograrnme in Afghanistan.
A further £12.500 grant is to be received itt Janllary 2026
12.
RELATED PARTY DISCLOSURES
Th¢re w¢re no related party transa¢tions ftsr the peri¢xl ended 5 April 2025.
13.
GOING CONCERN
There are no material uncertainties &bout the Charity's ability to continue
Page 9

30 BIRDS FOUNDATION UK
DETAILED STATEMEf4T OF FINANCIAL ACTIVITIES
FOR THE PERIOD I I JANliARY 2024 TO 5 APIUL 2025
INCOME AND ENDOWMENTS
Donations And legacies
Grallts
513,859
Investment income
Current arcoullt int¢r¢5t
931
Total incoming resources
514,790
EXPENDITURE
Charitable aetivities
Grants to institlltiofts
329,435
Supptsrt ¢o$t5
Management
Advcrtlsing
Adjnill 5UPPOrt
Travelling expenses
55
362
12.017
12,434
Finance
Bank Charges
354
Gover￿an¢t eosts
Auditors, reniuneratiurt for audit wi)rk
1.440
Total resourvs ¢xpended
343.663
Net 5ncome
171.127
This page does not fomi part of the statt¥tory finar*cial statements
Pa8c 10