Vlvek Chadha Foundatlon
Charftynumber 12110741 CIO rrylstered 22 Novernber 2024
7Iust•es' Annual Rwrt and Aftounls
Fortheperlod 22 November 2024 to 31 Au8USt 202S
Thr%tnft'oiiiit% 17lrpre￿r4.I1Oil Ihr Rvicipts& Po)'mvnt5 hu¥ls In
oci'or(l¢iiice iiiih ihe C"harilies At i Joi i. (he Charilable IncOryN)i￿Ied
Or(liinisiilioii.% {f•l'lll'riilJ RiYJulritictrns ZOIZ. ondihe Chority
Coiiirni.%.%it)Ii'suiiidunce.
l Rtference and administrative infofmatbon
R stered name
Chari
number
Principal office
Vivek Chadha Fowidation
1211074
VivekHouse, 65.67 aarendon Road Watford
WD17 IDS
MrGursharan Singh Chadha (Chair)
Mrslasbir Kaurchadha
MrAmandeep Singh Mahal
Mrs Gurpreet Kaur Chadha
Mrshirish Ramesh Paiel
Santander Bank [currentaccount opened 20
2025
Tn￿te5 (duringtheperiod)
Bankers
2 StTUClvre, governantt and managemeTrt
The charityis a Charitsble Incoryk)ra￿d Organi5ation (ao}governed byits Constitu￿On
adopted on S luly 202I.Tn￿areaPp0inted in accordan¢ewith dause 10 of that constitutlort
for renewable thretryear tems. Day.ttrdayadministration is carriedoutbythetrustee5: no
staff were employed during the peri(#l
3 Objectitse5 and act1%1tie5
The objerts, as setoutin the (onstitutiorn are:
l. Advanttment ofedu¢ation fordisadvantaged children.
2. Prnvision of facilities for recreation or otherleisurtrtime occupation in the Interests of
social welfare forchildren andyoung peoplewho have need of such facilities.
3. Prnmodon ofthe phys￿ and mentsi health ofdisadvantsged childrt
Duringthls Inltlal perlod trustees focused on tornpliance matter* ¢ornpleting Charity
Commlsslon registrauoffj establtshing toregovernance documents (5afeguardin8 poliry.
grant.maklng poliry. finandal tontro]s), opening dialoguewith prospertive partnerschool$ and
¢ommunllyorgan5sallons. and explorlng future funding sOu￿e& No lundralslngor charltsble
programrne txpenditure omirred before theyear-en(L
4 Achievements and perfomlance
Complellon and Board approval of the Safeguardlng Poilcy and Grant.Maklng Policy
(February2025).
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Vivek Chadha Foundation
Chaiity number 12110741 CIO registered 22 November 2024
Adoption of a Financial Controls and Reserves framework (March 2025).
Preliminary stakeholder mapping in Warford and Greater14ndon (May 2025).
Opened the diarity's first current account with Santander Bank in August20ZS; balance at
31 August 2025 remained £0.
No funds were received or expended durfng the reporting perio(L A current account with
Santander Bankwas opened on 20 August 2025: the closing cash balance at 31 Augu5t2025 was
£0. and the charity held no other assets or liabilities.
The tnLStees have considered forecasts for the 12 months following the approval ofthese
accounts and are satisfied the charity remains a going concern.
6 Plan5 for ftEture periods
Activate online donation capabilitylinked to the SantsnderaccounL
Eaunth an initial £25,000 fundraising campaign during 2025126.
Disburse the fi￿t education scholarships and sports equipmentgrants before
31 August 2026.
Recruitspecialist volunteer advisers in edu(ation. sport and child health.
-iril,'P31 risks and uncertainttes
Safeguarding failures
Adoption of policy,. mandatory DBS checks
and training before any activity with
children.
Diversified fundraising plan (individual
ivin
co
ra*s
nsorshi
Transparent reportin& adheren￿ to Charity
Commission
idance.
Regular board review of legal duties;
en
ement with rofessional advisers.
FwTrding dependence
Reputational
Regulatory non-compliance
tc-es, responsibilitie5
The trustees are responsible for preparing the Trustees. Annual Report and the accounts In
accordan￿ with applicable law and regulations.
9 ApprG'Jdl
This report was approved by the l)oard oftrustees on 22 lune 2026and is signed on its behalf
Gursharan Singh Chadha
Chairnian
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CHARITY COMMISSION
FOR EN'GiAYD AND WAIE5
Clorty Reg. P+>.
CC16a
Section B Ststement of assets and liabiltlies at the end of the period
Unrestrieted
lunds
Rutricted funds
Éndawmefit
funds
nparnt£
Calegories
B1 C•sh fur#ls
£D.ao
to.
Tol•lc•shlunds
Éo.00
£D.00
Éo.uo
R•¥lrfthd lunds
Endowm•nt
funds
)r•wqsi £
lunds
Dètails
B2 Oih•r M￿tsry 03$•ts
00
£0.
¢wr•rtw
83 lrtv•stm•nt assets
00
oo
C¢vr•rt y￿ul
D•talls
B4Ass•ts re¢a¥*d for th?
G￿rty'S rywn
£•.00
00
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£thoo
D•lalls
IlaL411ty
85 Uab￿ltIeS
£0
S*3ned by one ¢rM
bohalol alth• tsy¥tee5
Data clBpwo¥
trGwthar•n Swdh Thadha
2Z ￿n0 2026
JasblT knurchadhl
22 Jjne 2026
CCXX R2 ISSI
22106r1026
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Rify COMMISSIO4 '
CC16a
Forthp
31-
Receipts and payments accounts
Seclw)n A Receipts and payll*nts
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