Partnerrtid
Partn•rAid UK
registered as Partner Int8rnalional (UK)
(Charity Ragistration Number- 1015165)
Tru$t•gs' Report and Flnan¢ial Statoment$
For tho yaar ended 31 Oecember 2025
Contents
Page
Reference and Administr8tiv& Detals
TTUStees' R8POrt
Independent Examinerfs Report
Statem8nl of Financial Adivity
Balance Shg8t
Notes to the Financial Statements

Partner Aid Intsmatlonal {UKI
Relerence and Adrninistrattvo Details
Charity Number
1015165
Trustoos
Mr Andrew Dimmock
Mr Randall Lawler
Mrs Jan Merrow-smith
Mrs Elizabeth Fewkes
Mrs Susie Kelsey
Mr Neil Graham
Treasurer
Mr N Gra¢8y
Principal Address
43 Ealon Avenue
High WycL)mbe
Bucks
HP12 3BS
Englond
Bank•rs
The Co-op8r8tive Bank
1 Balloon Str8et
Manchester
Independent Examlner
Mr T Brewer
51 Elmwood Crescent
Flitwick
Bedford5hire
MK45 1LH
Page I

Partnor Ald Intematlonal {UK)
Trustèès R81)0rt
For the yèar endod 31 December 2025
Structur•. governance and management
Partner Aid International IUKI is an unincorporated registared UK charity INo.1015165), govemed by a TTUSt
Deed. Th8 name Partn&rAid UK has been adopted for working purposes.
The Charity is self-goveining. It coordinates Nvilh a wider ne￿[k of chaiities opeTating under Ihe'PartnerAid'
Dame in other counlri8s. including Switzerfar￿ and th8 Nethe￿ands. whith gives aws to Co-operative support
and expertise when needed.
The curr9llt Tnjslees are listed on pago 1. The Ttustees have the power to elect new TTuslees as required.
Objeetlves and activitles
The Trustees wish lo thank the liusls aTrJ individuals who have provided vital fundT8ising In support of PartnerAid
UK during tho past year.
TrU￿eeS are pleased to c￿flrM Ihat all furKfraisiDg is dong in compliance with best fundraising practi¢e. During
2025 we dKJ not employ 8ny professional fundraise￿. There were no complaints 01 ￿ltIcismS durlng the year
about our fundraising activities.
The Charivs primary objective is to raise funds to support ￿lIaf and developTnent projects and conlinue to
support projects in Burkina Faso. Chad, Ghana. Ethiopia. Pakistan, Lebanon, M(Yocco and Soulh Sudan.
The Trustee$ seek to achieve thls objectlve by raising funds to support reli8ble, experienc8d and committed local
partner organisations. We look lor cost-effeclive projeds run by community-based teams with whom we Gan
msinlain good comtnunicalic>ns and accounlabiltiy. By re￿.ng mainty on volunteers. the Charitys expenses are
kept lo a minimum, thus allowing maximum fun¢s to be channelled into ￿li￿f and d8v8lopment proje¢t¥.
Achlavaments and perfom)anGe
Total donations received or receivable were £32.945 in 2025 which showed a de¢rÈase of £12,103 (decrease in
2024 of £13.9601-
The Trustees have considered risks to which the Charity is exposed and in their opinion the established syslems
and procedures conlinue Io afford adèquate safeguard.
Page 2

Partnor Ald Internatlonal IUKI
Tru$tg0$ Report Icontinuedl
For tho year ond•d 31 December 2025
Flnanclal review
Donations received in 2025 We￿ sufficient lo continue funding ongoing long-term development projects. Funds
at the year and of £11,44012024 £13,426) representgd mainly cash held in a bank aecount prhy to distribution.
The Trustees. poliGy is io send all speufic donations lo overse8s projects as soon as these can be effective
US8d. Gifts awaiting remittance eam bank Interest, which is added to the balances held for the ￿lated projects.
Al the year end, unrestricted funds wèrè £1.22712024 £3,979) which are considered satisfactory.
Statement of Trustees, r¢sponsibilltles
Charity law requires the Trustees to prepare financial stslemenls f￿ each financia5 year whlch glvg a true and f?ir
view Of the State ol affarrs of the Charity al the year Ènd arKI of its incoming resources and resources experKled
during that year. In preparing those financial statefflents. the Trustees are reqLJired to..
la} select suitable accounting policrtrs and then 8pply th8m consistently.
(bl make judgements and eslimales that are reasonable and Prudent,
1¢) slate whether accounting Standards and stst8m8nls ol recommended practice have been followed. subject to
any material departU￿S disdosed and explained in the financial statements, and
Idl prepare thp finanGial slatsmenls on a going concem b8$is, unless it is inapproFHiat8 to assum8 that
the charty will tr￿ntinUe in business.
The Trustees 8r¢ responsible for k￿p1Trg proper ac¢ounting ￿e0rds, which disclosè with reasonable accuracy, at
any ￿M8, th8 flnancial position of the Charity and enable thom to ensure that the financial statements comply with
charity law. They are a150 r8sponsiLile for safeguarding the assets of the Charity and hence for tsking reasonable
steps for the prevention and dote¢b"on of fraud and othGr irregularitses.
Declaratlon
The Tru8tee8 declare they have appmved the above report.
Signed on behalf of the Charity's Trustees By
MrA
Immock
Chaimian
Mrs J Merr¢)w-Smith
Trustee
Page 3

INDEPENDENT EXAMINER'S REPORT
TO THE TRUSTEES OF PARTNER AIO INTERNATIONAL {UKJ. reglstered Gharlty numb¢r 1015165
l Keport to tho chority trustee5 on my examination of the accounts ol Partner Inlernalional IUKI fthe Trust")
lor the year ended 31 December 2025 as Sel out on pages 5 to 9.
Raspectlve rgsponslbllltles of Trustees and Examlner
The charity's trustees are responsib18 for lh8 pr8paration of the accounts in accordance with the reouiremenls of
the charilies Acl 20111'the Act.).
I T6￿rt in iespect ol my examination of the Trust's accx)unts as carried out under ¥ec1ion 145 of the A¢i and In
Carr￿￿9 Out my examination I have followed 811 tho appficable DirectiEJns given by the Charity Cornmi55ion under
sectiw 145I5ltbl of the Act.
Inde￿ndent 8xaminer's statèm•nt
I have completed my exafflinatitsn.
I wnfim that no matters have como to my attenllon in connection with th8 examination giving me cause to
b81iève that in any material rospect..
1. accoLtnting records were not kept In respect of the Trust as requSred by sedion 130 of ihe ACL or
2. the accounts do not accord wth thos8 records., cr
3. th8 accounts dD not comply with the applicable requirements concerning the form and cont8nt of accounts sel
out in the Charities (Accounts and R8POrtI Regulations 2008 other than any rpquir8m8nt that the ￿COUnts give a
Iwe and f8ir viev/ which Is not a mdttcr ¢onsidefed as part ol en independent eXaMinat￿n., or
4. Ihe 8ccounts have not been prepared in accordance wilh the melhods Bnd prlnciples of Accgunung and
Reporbng by Charitses.. Statement of Recomwn2tKled Piacti¢e applicable to charities prepafing their accounts in
8ceorOance with the FinaThchg1 Reporting Siandard applicable in th8 UK and the Ropublic of Ifeland IFRS 1021
I have no coni%Tns and have come across no other matters in conneclion wth tha examination to whith Èttgnlion
should be drawn in this report in order to 8n8ble a proper understandin9 of the accounts trj be Thathed.
MI T Brewer
51 ElmwocM1 C￿SCent
Flitwick
BedloTdshire
MK45 1LH
Date& 27 1 4
PaBe 4

Partn•r Ald Int•rnational IUKI
Statement of Financial Actmtles
Year ended 31 DK8mber 2025
Isurnmary of Income and Exp8ndItts￿I
Restrlcted Unrestricted
Funds
Funds
Total
2025
Total
2024
Note
In¢omlng Resources
Donations
other
Total In¢omlng Resources
20.165
12,780
32,945
45,048
20,165
12,780
32.945
45,048
Rgsourcas Expendèd
C05t of generating knnds
Chaiitable expèndSture
Projects and support
Management and administration
Total Rosour¢•s Exp•nded
29,626
29.628
5,305
34.931
67.549
7,140
74,689
5,305
5,305
29,626
Net Incomlng Resourc•s for the year
-9.461
7,475
-1,986
-29.641
Tran¥fvrs between Funds
10.227
-10.227
N•t Mov•mgnt in Funds
786
-2,752
-1,986
-29.641
ReconcilÈation of Funds
Balan¢es brought forward at 1 January
9.447
3,979
13,426
43,067
Balancgs Garried forward at 31 December
10,213
1,227
11,440
13,426
Thè notés on pages 7 to 9 fomi part of these fingNci81 statements
Page 5

Partner Ald Internatlonal (UK). reglstered charlty number 1015165
Balance Sheet
At 31 December 2025
2025
2024
Note
Current Assets
Debtors
Cash at bank and in hand
11.680
11.680
13,666
13,666
Current LiablSltlas
Creditors f811ing due within one year
{240}
12401
Net Asset$
11.440
13.426
Represented by.
Income Fund5
Restricted funds
General chartlable funds
Total Funds
10,213
1,227
11.440
9.447
3.g79
13.426
The notes on pages 7 10 9 form part of these financial stalernenls
These financial statements have been approved by the Trustees and are slgned on
their behalf by=
MrA D￿moCk
Chalrman
Mrs J Merrow-smilh
Tnjstoe
Dated Zl ¥OL£'
Page 6

P¥rtner Interngtlonal (UK)
Notès to the Flnancial Stalemenls
Yoar ended 31 Dgcgrnbèr 2025
1. Charlty Inft>rmatlon
P8rtner 1ntemab.onal IUKI is an vnincorwraled Gharitabte tntst r8gi8ter8d wtth the Charity
Commission foi EnglarKJ and Wales,
The T8glstered trffice is 43 Eaton Avenu8. ￿1g￿ Wyo)mbe, Bucks. HP12 3BS.
2. Basls of Preparation
Those a(X￿nts havè prepwed und8r th8 hisloitcal cosi convèntion with items r8cognis8d at
cost or iran58Gbon valuo yn5oss otherwise stated in thè relÉvant notslsl to tha￿ accounts snd
accordan￿ ￿1th the Charty SORP IFRSI. the Financial Rew)rtsng S18ndard applicablè in thF United
Kingdom and Republic of Ireland and in accordance the Charities Act 2011.
The accounts prwnt a true and fair vrew and the accounting poli¢io5 adopted a￿ those outlined in
not8 3.
No changes lo accoUn￿ng policies and accounting e5tKllate5 have taken place during the year.
No material prior ￿r erro￿ have been id8ntffied in the year.
The Trustee5 consider that Ih8re ar8 no mal8rial uncertalntles about lh8 charitys abillty to funclK)n.
l arnounts shown in the flnancial slat8m8nts arè slated in Sterling which is IttE functional cUr￿EY of
the charity. Monetary amounts in th888 finanrAal staterllenl are round￿1 lo the n8are51 £.
3. Accounting Polkles
Incoming R¥sources and Fund Aecountlng
DDnations are cr8dited in the Statement of financi81 activitie8 when ￿￿1ve{l. Incotne received fora
specthc restri¢led purpose as dedared by the donor 15 credited to a separate restiirtpd fund.
Unrestricted funds 8re expendatslè at the Trustees. dlscr8t.on in furtherancE of Chariws
objectlves.
Resgur¢e5 Expended
Resourcps expended are accounted for on an awru8ls basls. Expenditure 15 3llacatÉd In the
statemont of fin&ncial actiiryties between re6tri¢ted and unrestricted fund5 and is further analysed
bewn tharitatAe expendituro and cost of genergtin9 fund5. Charitable expenditure ks analysad
be￿en Field Projects & SuppDrt and Management & Administration.
contribu￿on from Projects
A proporilon ol Oev81oping Country Project Incom8 (not ex￿eding a maximum of 10% of donabons}
was contributed in 2D25 tOWgTd5 the Charity'$ support C0515. including general publicity and
a4Jministration. Any 8XCe55 funds arè allo¢atod back to Proj8Ct$ at the Trustees. di$¢retion.
5. Dlrect Charitable Expenditur•
Prolects & SupFKJrt tx)mprise5 grfLs forwarded to Proie¢t tsarns.
The Charity doe$ not have any paid staff and instead uses expert consultants where F¥)551b￿. ThSs
enables maximum funds to be thanaelled overs&as Into relief and d8veloprnent projects. Trustees are
not remunerated and 8re paid expense5 forattending meetings and dUt￿S direclty related to their
duties as trustee.
Mrs J Merrow-smrth was paid £4.118 for consultancy fee8 during the year12024'. £5.1981.
£24012024.. £2401 has been provided ts the IndepÈndenl examin8r'5 fge in the 2025 accounts.
Page 7

Partnor Ald International IUKI
Nuteg to the Flnanclal Statements Icontlnuedl
Yaar 8nd8d 31 De¢ember 2025
6. Analysls of R85tri¢t•d Funds
South
Asla
Mlddle
East
Afrl¢a
Total
For the year ended 31 Decernber 2025
lrtcomlng Re50urce5
t)onations
B8nk interest re￿Ived
Totgl Incoming Rasources
20,165
20.165
20.165
20.165
Los$'. Chayltablg ExpeDdliure
Fidd prolects and support
27.126
29.626
Not Incomlng Ro£oure•s for the year
(6,9611
12,5001
19A611
Tran￿•r9 b•hveen Funds
7.727
2.500
10.227
Net Movement In Funds
766
Reconciliation of Funds
Balanc•s at l January 2025
9.078
369
9.447
Balancès at 31 Decèmber 2025
369
10.213
I TTansfèrs befv4een Funds are either itrto or frDrn the General Fund (an Unrestricted Fund).
South
Asla
Mlddle
For the &nded 31 Decembgr 2024
In￿mIng Resources
Don81ions
Bank interest fe¢oived
Total Incoming Resou￿5
Africa
Tot
6,538
9,500
10.500
26.538
6.538
9.500
10.500
26.538
Less: Charltable ExpendEtUTe
Field projects and support
26,249
3,450
17.850
67,549
Nat Incomlng Re80urcas for tho year
119,7101
{13,950}
17.3501
{41.010}
Transfers between
12.849
-750
20.649
Net Mov•mBnt in Fund•
16,8621
-5.400
18.100)
120,362)
Reconclliatlon r)f Funds
Balances at 1 January 2024
15.940
5.400
8,469
29.809
Balances at 31 O•c•mbor 2024
9,078
369
9.447
7. Credltors falllng due wlfhin one year
2025
2024
Accrued e￿nG8S
240
240
Page 8

Partner Ald Intgrn8tlonal (UK)
Notes to the Financial Statements Icontinuedl
Year •nd•d 31 December 2025
8. Statgmgnt of Financial A¢tlvltie$
For the year end¢d 31 December 2024
RBstrlcted Unro$trl¢ted
Funds
Funds
Total
2023
Note
Incomlng Resources
Donations
Othèr
Total Ineemlng R•sources
26,538
18,510
45,048
26.538
18,510
45,04
ResourG6s Expended
Cost or￿n￿rating funds
Charitable expenditure
Projects and support
Managtrment ancl administration
Total Resources Expended
67,549
67,549
7,140
74,689
7,14rJ
7,140
67,549
Not Incoming R•sources forth• y￿r
141.0111
11.370
129,8411
Transfers bekn¥een Funds
20,649
{20,6491
Net Movement In Funds
120.3621
19,2791
129,6411
Reconclllatlon of Funds
BalarKes txought forword at 1 January
29.809
13.256
43.067
Balances Ca￿1¥d frJwaTd at 31 Decetnber
9,447
3,979
13,426
Page 9