TOOLS FOR SELF RELIANCE
Trosolwg o'r elusen
Gweithgareddau - sut mae'r elusen yn gwario ei harian
Our overall mission is to supports people to gain the skills and knowledge they need to build resilient livelihoods and thriving communities. We work with and through partner organisations to deliver training and to equip graduates for work. In the UK we have a network of over 350 UK volunteers who contribute by collecting and refurbishing donated tools and by fundraising to support our work.
Incwm a gwariant
Data ar gyfer y flwyddyn ariannol yn gorffen 31 December 2024
Cyfanswm incwm:
£698,770
| Roddion a chymynroddion | £288.62k | |
| Weithgareddau elusennol | £264.81k | |
| Weithgareddau masnachu eraill | £73.15k | |
| Buddsoddiadau | £72.19k | |
| Arall | £0 |
Cyfanswm gwariant:
£767,421
| Codi arian | £131.34k | |
| Weithgareddau elusennol | £636.09k | |
| Arall | £0 |
£450,000 enillion (colledion) buddsoddiadau
Gwariant elusennol
Gwariant elusennol gydag enillion buddsoddi
Charitable expenditure
Some charities generate all, or a substantial part, of their income from investments which may have been donated to the charity as endowment or set aside by the charity from its own resources in the past. Such investments usually take the form of stocks and shares but may include other assets, such as property, that are capable of generating income and/or capital growth.
In managing their spending and investments charities need to strike a balance between the needs of future and current beneficiaries. They also need to take account of spending commitments that may stretch over a number of future years. To do this, charities will normally adopt an investment strategy designed to generate both income and capital growth. To maximise returns trustees may commit to investment strategies for several years.
Investments can experience large swings in value so trustees may, in a particular year, decide to realise and spend part of their charity’s capital or to invest part of its income.
By clicking the investment gains checkbox the charitable spending bar is adjusted to take account of capital growth as well as income. This shows the balance the charity is striking, between spending on current beneficiaries and retaining resources for future beneficiaries.
| Codi arian a Arall Gwariant | £131.34k | |
| Gwariant elusennol | £636.09k |
| Codi arian a Arall Gwariant | £131.34k | |
| Gwariant elusennol | £636.09k | |
| Cadwyd i'w ddefnyddio yn y dyfodol | £381.35k |
Pobl
10 Gweithwyr
6 Ymddiriedolwyr
350 Gwirfoddolwyr
Gweithwyr sydd â chyfanswm buddion dros £60,000
| Nifer y cyflogeion | |
|---|---|
| £60k i £70k | 1 |
Codi arian
Masnachu
Taliadau i ymddiriedolwyr
Beth, pwy, sut, ble
- Addysg/hyfforddiant
- Rhoi Cymorth I’r Tlodion
- Cymorth Dramor/cymorth I’r Newynog
- Economaidd/datblygiad Cymunedol/cyfl Ogaeth
- Plant/pobl Ifanc
- Yr Henoed/pobl Oedrannus
- Pobl Ag Anableddau
- Grwpiau Diffi Niedig Eraill
- Y Cyhoedd/dynolryw
- Darparu Gwasanaethau
- Lloegr
- Ghana
- Malawi
- Sierra Leone
- Uganda
- Zambia
Llywodraethu
- 10 Hydref 1980: Cofrestrwyd
- T F S R (Enw gwaith)
- TOOLS FOR SELF RELIANCE LTD (Enw blaenorol)
- Polisi a gweithdrefnau bwlio ac aflonyddu
- Trin cwynion
- Polisi a gweithdrefnau cwynion
- Buddiannau croes
- Polisi a gweithdrefnau cronfeydd arian wrth gefn
- Polisi a gweithdrefnau rheolaethau ariannol mewnol elusen
- Polisi a gweithdrefnau rheoli risg mewnol
- Polisi a gweithdrefnau buddsoddi cronfeydd elusen
- Buddsoddi
- Talu staff
- Rheoli risg
- Polisi a gweithdrefnau diogelu
- Diogelu buddiolwyr agored i niwed
- Polisi a gweithdrefnau adrodd am ddigwyddiadau difrifol
- Polisi a gweithdrefnau cyfryngau cymdeithasol
- Polisi a gweithdrefnau gwrthdaro buddiannau ymddiriedolwyr
- Rheoli gwirfoddolwyr
Ymddiriedolwyr
Ymddiriedolwyr yw’r bobl sy’n gyfrifol am reoli’ gwaith, rheolaeth a gweinyddiaeth yr elusen. Gellir adnabod ymddiriedolwyr wrth enwau eraill megis cyfarwyddwyr, aelodau pwyllgor, llywodraethwyr neu rywbeth arall, ac nid ydynt fel arfer wedi’u cyflogi gan yr elusen. Mae’r ymddiriedolwyr yn gyfrifol am ddiweddaru'r rhestr hon a gallant wneud hyn wrth ddiweddaru eu manylion fel y maent yn digwydd trwy'r gwasanaeth ar-lein.
6 Ymddiriedolwyr
| Enw | Rôl | Dyddiad y penodiad | Ymddiriedolaethau eraill | Statws adrodd ymddiriedolaethau eraill | ||||
|---|---|---|---|---|---|---|---|---|
| David Fletcher | Cadeirydd | 21 October 2023 |
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| Bram Miller | Ymddiriedolwr | 12 December 2025 |
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| Samantha Rider | Ymddiriedolwr | 27 October 2024 |
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| Sarah Dickins | Ymddiriedolwr | 15 October 2022 |
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| Jacqui Scott | Ymddiriedolwr | 22 September 2018 |
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| Linda Hansford | Ymddiriedolwr | 22 September 2018 |
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Hanes ariannol
Dyddiad diwedd cyfnod ariannol
| Incwm / Gwariant | 31/12/2020 | 31/12/2021 | 31/12/2022 | 31/12/2023 | 31/12/2024 | ||
|---|---|---|---|---|---|---|---|
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Cyfanswm Incwm Gros | £680.26k | £764.31k | £778.87k | £758.80k | £698.77k | |
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Cyfanswm gwariant | £632.64k | £712.33k | £916.13k | £802.49k | £767.42k | |
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Incwm o gontractau'r llywodraeth | N/A | N/A | N/A | N/A | N/A | |
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Incwm o grantiau'r llywodraeth | N/A | N/A | N/A | N/A | N/A | |
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Incwm o roddion a chymynroddion | £511.03k | £290.14k | £332.08k | £314.64k | £288.62k | |
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Incwm o weithgareddau masnachu eraill | £109.01k | £92.03k | £108.91k | £92.18k | £73.15k | |
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Incwm - Weithgareddau elusennol | £0 | £319.69k | £274.03k | £280.96k | £264.81k | |
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Incwm - Gwaddolion | £0 | £0 | £0 | £0 | £0 | |
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Incwm - Buddsoddiad | £60.22k | £62.46k | £63.85k | £71.02k | £72.19k | |
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Incwm - Arall | £0 | £0 | £0 | £0 | £0 | |
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Incwm - Cymynroddion | £9.11k | £36.96k | £21.45k | £91.15k | £46.01k | |
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Gwariant - Ggweithgareddau elusennol | £514.29k | £556.64k | £729.26k | £640.31k | £636.09k | |
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Gwariant - Ar godi arian | £118.35k | £155.70k | £186.87k | £162.19k | £131.34k | |
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Gwariant - Llywodraethu | £5.39k | £5.39k | £5.92k | £0 | £6.38k | |
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Gwariant - Sefydliad grantiau | £0 | £0 | £0 | £0 | £0 | |
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Gwariant - Rheoli buddsoddiadau | £493 | £3.48k | £3.38k | £0 | £0 | |
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Gwariant - Arall | £0 | £0 | £0 | £0 | £0 |
Asedau a rhwymedigaethau
Diffiniadau ar gyfer asedau a rhwymedigaethau
Asedau yw’r rhain, ac nid buddsoddiadau, a ddelir am fwy na 12 mis ac a ddefnyddir i redeg a gweinyddu’r elusen megis adeiladau, swyddfeydd, arddangosfeydd a gosodiadau a ffitiadau.
Buddsoddiadau Tymor HirBuddsoddiadau yw asedau a ddelir gan yr elusen gyda’r unig nod o gynhyrchu incwm a ddefnyddir ar gyfer eu dibenion elusennol megis cyfrifon cadw, rhanddaliadau, eiddo a rentir ac ymddiriedolaethau unedau.
Ailbrisir asedau buddsoddi bob blwyddyn ac fe’u cynhwysir yn y fantolen ar eu gwerth marchnad cyfredol.
Delir buddsoddiadau tymor hir am fwy na 12 mis.
Asedau yw’r rhain a ddelir yn gyffredinol am lai na 12 mis megis arian parod a balansau banc, dyledwyr, buddsoddiadau i'w gwerthu o fewn y flwyddyn sydd i ddod a stoc masnachu.
Ased neu rwymedigaeth cynllun pensiwn budd a ddiffiniwydArian dros ben neu ddiffyg yw hwn mewn unrhyw gynllun pensiwn budd a ddiffinnir sy’n cael ei weithredu ac mae’n cynrychioli ased neu rwymedigaeth tymor hir botensial.
Cyfanswm rhwymedigaethauDyma’r holl symiau sy’n ddyledus gan yr elusen ar ddyddiad y daflen balans i drydydd partïon megis biliau sy’n ddyledus ond heb eu talu hyd yn hyn, gorddrafftiau banc a benthyciadau a morgeisi.
| Asset / Liability | 31/12/2020 | 31/12/2021 | 31/12/2022 | 31/12/2023 | 31/12/2024 | ||
|---|---|---|---|---|---|---|---|
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Asedau hunan ddefnydd | £137.31k | £145.19k | £137.64k | £130.10k | £122.56k | |
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Buddsoddiadau tymor hir | £315.00k | £370.00k | £370.00k | £370.00k | £820.00k | |
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Cyfanswm asedau | £572.71k | £583.97k | £453.23k | £410.27k | £349.33k | |
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Ased neu rwymedigaeth cynllun pensiwn budd a ddiffiniwyd | -£4.42k | -£1.07k | -£580 | £0 | £0 | |
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Cyfanswm rhwymedigaethau | £67.82k | £38.32k | £37.79k | £31.57k | £31.73k |
Cyfrifon a datganiadau enillion blynyddol
| Teitl | Blwyddyn adrodd | Dyddiad derbyn | Derbyniwyd | Download |
|---|---|---|---|---|
| Adroddiad blynyddol | 31 Rhagfyr 2024 | 22 Hydref 2025 | Ar amser | |
| Cyfrifon a TAR | 31 Rhagfyr 2024 | 22 Hydref 2025 | Ar amser | Download Agorwch mewn ffenestr newydd |
| Adroddiad blynyddol | 31 Rhagfyr 2023 | 31 Hydref 2024 | Ar amser | |
| Cyfrifon a TAR | 31 Rhagfyr 2023 | 31 Hydref 2024 | Ar amser | Download Agorwch mewn ffenestr newydd |
| Adroddiad blynyddol | 31 Rhagfyr 2022 | 27 Hydref 2023 | Ar amser | |
| Cyfrifon a TAR | 31 Rhagfyr 2022 | 27 Hydref 2023 | Ar amser | Download Agorwch mewn ffenestr newydd |
| Adroddiad blynyddol | 31 Rhagfyr 2021 | 24 Hydref 2022 | Ar amser | |
| Cyfrifon a TAR | 31 Rhagfyr 2021 | 24 Hydref 2022 | Ar amser | Download Agorwch mewn ffenestr newydd |
| Adroddiad blynyddol | 31 Rhagfyr 2020 | 14 Hydref 2021 | Ar amser | |
| Cyfrifon a TAR | 31 Rhagfyr 2020 | 14 Hydref 2021 | Ar amser | Download Agorwch mewn ffenestr newydd |
Dogfen lywodraethu
Nid dyma destun llawn dogfen lywodraethu'r elusen.
MEMORANDUM AND ARTICLES INCORPORATED 26 MAR 1980 AS AMENDED BY SPECIAL RESOLUTION(S) DATED 28 JUN 1980 AS AMENDED BY SPECIAL RESOLUTION(S) DATED 07 JUL 2016 AS AMENDED BY SPECIAL RESOLUTION(S) DATED 22 SEP 2018
Gwrthrychau elusennol
3 THE OBJECTS FOR WHICH THE COMPANY IS ESTABLISHED ARE: 3.1 THE RELIEF OF POVERTY AMONGST THE PEOPLE IN THE DEVELOPING AREAS IN THE WORLD BY THE PROVISION OF HAND AND OTHER TOOLS AND EQUIPMENT, TOGETHER WITH TRAINING IN THEIR USE, BUSINESS SKILLS AND LIVELIHOOD SKILLS. 3.2 THE COMPANY SHALL HAVE POWER TO DO ANYTHING WHICH IS CALCULATED TO FURTHER ITS OBJECTIVES OR IS CONDUCIVE OR INCIDENTAL TO DOING SO. IN PARTICULAR THE COMPANY HAS THE POWER: 3.2.1 TO ORGANISE THE COLLECTION OF HAND AND OTHER TOOLS AND EQUIPMENT (WHETHER IN THE UNITED KINGDOM OR ELSEWHERE); 3.2.2 TO ORGANISE THE CLEANING, SORTING AND RENOVATION OF SUCH TOOLS AND EQUIPMENT BY VOLUNTEERS; 3.2.3 TO DISPATCH SUCH TOOLS AND EQUIPMENT TO CO-OPERATIVE AND COMMUNAL PROJECTS IN AFRICA AND OTHER UNDER DEVELOPED PARTS OF THE WORLD; 3.2.4 TO RAISE FUNDS. IN DOING SO THE COMPANY MUST NOT UNDERTAKE ANY TAXABLE PERMANENT TRADING ACTIVITY AND MUST COMPLY WITH ANY RELEVANT STATUTORY REGULATIONS; 3.2.5 TO BUY, TAKE ON LEASE OR IN EXCHANGE, HIRE OR OTHERWISE ACQUIRE ANY PROPERTY AND TO MAINTAIN AND EQUIP IT FOR USE; 3.2.6 TO SELL, LEASE OR OTHERWISE DISPOSE OF ALL OR ANY PART OF THE PROPERTY BELONGING TO THE COMPANY. IN EXERCISING THIS POWER THE COMPANY MUST COMPLY AS APPROPRIATE WITH SECTIONS 117 AND 122 OF THE CHARITIES ACT 2011; 3.2.7 TO BORROW MONEY AND TO CHARGE THE WHOLE OR ANY PART OF THE PROPERTY BELONGING TO THE COMPANY AS SECURITY FOR REPAYMENT OF THE MONEY BORROWED OR AS SECURITY FOR A GRANT OR THE DISCHARGE OF AN OBLIGATION. THE COMPANY MUST APPLY AS APPROPRIATE WITH SECTIONS 124-126 OF THE CHARITIES ACT IF IT WISHES TO MORTGAGE LAND; 3.2.8 TO CO-OPERATE WITH OTHER CHARITIES, VOLUNTARY BODIES AND STATUTORY AUTHORITIES AND TO EXCHANGE INFORMATION AND ADVICE WITH THEM; 3.2.9 TO ESTABLISH OR SUPPORT ANY CHARITABLE TRUSTS, ASSOCIATIONS OR INSTITUTIONS FORMED FOR ANY OF THE CHARITABLE PURPOSES INCLUDED IN THE OBJECTS; 3.2.10 TO ACQUIRE, MERGE WITH OR TO ENTER INTO ANY PARTNERSHIP OR JOINT VENTURE ARRANGEMENT WITH ANY OTHER CHARITY; 3.2.11 TO LEND AND ADVANCE MONEY OR GIVE CREDIT ON SUCH TERMS AS MAY BE CONSIDERED EXPEDIENT FOR THE AFORESAID PURPOSES; 3.2.12 TO SET ASIDE INCOME AS A RESERVE AGAINST FUTURE EXPENDITURE BUT ONLY IN ACCORDANCE WITH A WRITTEN POLICY ABOUT RESERVES; 3.2.13 TO APPLY FOR AND OBTAIN ANY LEGISLATIVE, MUNICIPAL OR OTHER ACTS OR AUTHORISATIONS FOR THE PURPOSE OF ENABLING THE COMPANY TO CARRY ANY OF ITS OBJECTS INTO EFFECT OR FOR EFFECTING ANY MODIFICATIONS OF THE COMPANY'S CONSTITUTION, OR FOR ANY OTHER PURPOSE WHICH MAY BE CONSIDERED EXPEDIENT, AND TO OPPOSE ANY PROCEEDINGS OR ACTIONS WHICH MAY BE CONSIDERED CALCULATED DIRECTLY OR INDIRECTLY TO PREJUDICE THE COMPANY'S INTERESTS; 3.2.14 TO PROCURE THE REGISTRATION OR INCORPORATION OF THE COMPANY IN OR UNDER THE LAWS OF ANY PLACE OUTSIDE ENGLAND, AND TO PROCURE ANY ACT OF PARLIAMENT, PROVISIONAL ORDER, ENACTMENT, DECREE OR OTHER LEGISLATIVE OR EXECUTIVE ACT OF ANY GOVERNMENT, STATE, COLONY, PROVINCE, DOMINION, SOVEREIGN OR AUTHORITY SUPREME, MUNICIPAL, LOCAL OR OTHERWISE FOR THE PURPOSE OF ENABLING THE COMPANY TO CARRY ANY OF ITS OBJECTS INTO EFFECT; 3.2.15 TO EMPLOY AND REMUNERATE SUCH STAFF AS ARE NECESSARY FOR CARRYING OUT THE WORK OF THE COMPANY. THE COMPANY MAY EMPLOY OR REMUNERATE A DIRECTOR ONLY TO THE EXTENT THAT IT IS PERMITTED TO DO SO BY ARTICLE 16.4 AND PROVIDE THAT IT COMPLIES WITH THE CONDITIONS IN THAT ARTICLE; 3.2.16 TO: (A) DEPOSIT OR INVEST FUNDS; (B) EMPLOY A PROFESSIONAL FUND MANAGER; AND (C) ARRANGE FOR THE INVESTMENTS OR OTHER PROPERTY OF THE COMPANY TO BE HELD IN THE NAME OF A NOMINEE (D) IN THE SAME MANNER AND SUBJECT TO THE SAME CONDITIONS AS THE TRUSTEES OF A TRUST ARE PERMITTED TO DO BY THE TRUSTEE ACT 2000; 3.2.17 TO PROVIDE INDEMNITY INSURANCE FOR THE DIRECTORS IN ACCORDANCE WITH, AND SUBJECT TO THE CONDITIONS IN, SECTION 189 OF THE CHARITIES ACT 2011; AND 3.2.18 TO PAY ALL EXPENSES OF AND INCIDENTAL TO THE INCORPORATION AND ESTABLISHMENT OF THE COMPANY. 3.3 THE OBJECTS OF THE COMPANY SHALL NOT EXTEND TO THE REGULATION OF RELATIONS BETWEEN WORKERS AND EMPLOYERS OR ORGANISATION OF WORKERS AND ORGANISATIONS OF EMPLOYERS. 3.4 PROVIDED ALSO THAT IN CASE THE COMPANY SHALL TAKE OR HOLD ANY PROPERTY SUBJECT TO THE JURISDICTION OF THE CHARITY COMMISSIONERS FOR ENGLAND AND WALES THE COMPANY SHALL NOT SELL, MORTGAGE, CHARGE OR LEASE THE SAME WITHOUT SUCH AUTHORITY, APPROVAL OR CONSENT AS MAY BE REQUIRED BY LAW, AND AS REGARDS ANY SUCH PROPERTY THE DIRECTORS OR OTHER THE MANAGERS OR TRUSTEES OF THE COMPANY SHALL BE CHARGEABLE FOR SUCH PROPERTY AS MAY COME INTO THEIR HANDS, AND SHALL BE ANSWERABLE AND ACCOUNTABLE FOR THEIR OWN ACTS, RECEIPTS, NEGLECTS AND DEFAULTS AND FOR THE DUE ADMINISTRATION OF SUCH PROPERTY IN THE SAME MANNER AND TO THE SAME EXTENT AS THEY WOULD HAVE BEEN ANSWERABLE AND ACCOUNTABLE AS SUCH DIRECTORS OR OTHER MANAGERS OR TRUSTEES IF NO INCORPORATION HAD BEEN EFFECTED, AND THE INCORPORATION OF THE COMPANY SHALL NOT DIMINISH OR IMPAIR ANY CONTROL OR AUTHORITY EXERCISABLE BY THE CHANCERY DIVISION OF THE HIGH COURT OF JUSTICE, THE CHARITY COMMISSIONERS OVER SUCH DIRECTORS OR OTHER MANAGERS OR TRUSTEES, BUT AS REGARDS ANY SUCH PROPERTY THEY SHALL BE SUBJECT TO SUCH CONTROL OR AUTHORITY AS IF THE COMPANY WERE NOT INCORPORATED. IN CASE THE COMPANY SHALL TAKE OR HOLD ANY PROPERTY WHICH MAY BE SUBJECT TO ANY TRUSTS THE COMPANY SHALL ONLY DEAL WITH THE SAME IN SUCH MANNER AS ALLOWED BY LAW HAVING REGARD TO SUCH TRUSTS.
Maes buddion
OVERSEAS
Gwybodaeth gyswllt
- Cyfeiriad yr elusen:
-
TOOLS FOR SELF RELIANCE
RINGWOOD ROAD
WOODLANDS
SOUTHAMPTON
SO40 7GY
- Ffôn:
- 02380869697
- E-bost:
- info@tfsr.org
Diolch am eich adborth. Oes gennych 5 munud i rannu eich barn am y gwasanaeth hwn?Open in new window