MIDLAND INTERNATIONAL AID TRUST
UK
FINANCIAL STATEMENTS
FOR
THE YEAR ENDED
31st JULY 2024
REGISTERED CHARITY NO . 1110634

MIDLAND INTERNATIONAL AID TRUST IUKI
37 Moor5ide Gardens
Walsall
INest Midlands
INS2 8SY
Registered Charity No.. 1110634
CONTENTS
Pa
341
Report of the Trustees
si
Statement of the Trustee's Responsibility
61
Independent Examlnars Report
71
Statement of Financial Activities
Balance Sheet
9.101
Notes to the Accounts

MIDLAND INTERNATIONAL AID TRUST IUKI
REPORT OF THE TRUSTEES
The Trustees present their report along with the financial statements ol the charity for the
year ended 31 sl July 2024
Chairman and Chief Executive
Professor Abdul Rashid Galrad IOBEI
Consultant Paedialri¢ian al the Manor Hospital. Honorary Senior Lecturer al the University ol
Birmingham, Honorary Professor at University of Kenlucky anL% also Professor 81 University of
Wolverhampton.
Professor Abdul Rashid Gatrad OBE has been the inspiration from the inception of this trust
and has devoted significant lime and effort over the years lo the Trust's cause.
New Trustees
Mr Adnan Rafiq LLB
Mr Zafar Aslam
Raheen Mussa
Members..
Mr Sijaad Hussain Bsc MSC FCCA
Mr Imran Mahmood Sacha Bsc
Mr Mahmood Ravol Bsc
Dr lan Robertson
Javed Iqbal
Prlnclpal Actlvlty
Midland International Aid Trust IUKI is 8 charitable legal enlily in the UK with the aim lo
relieve poverty. deprivation and distress Ihroughoul the world and lo relieve suffering whether
chronic or accule by way of emergency Inlervenlign and lor establishing rehabililalion
programmes.
In order lo Complete this philosophy medic81 projects have been setup in Gujral Pakistan over
the la51 lew years and In particular the building of the Maternity and the childrens Hospital.
This project is now complete.
Variou5 Health Professional$ from the UK and other Countries are sent lo Gujral by MIAT to
leach and train.

MIDLAND INTERNATIONAL AID TRUST IiIKI
REVIEW OF THE ACTIVITIES
The Trust Is principally midland based with an office in Walsall. cu￿n11y, ihe day 19 day
management of the trust Is undertaken by Mr Mohammed Aslarr MBE and ProfessorAbdul Rashid Gatrad OBE
with the support and assistance from the other Tiuslees.
The funds raised are spent on Inlefflatsonal emergency disa51èr ￿ lief projects, for examp￿..
1 Waler Project
2 Qurbanl Pmject
3 Eye icleft Llp and Palate in Paklstan
4 Club Fool Projed Paki5t8n
5 Weekly Cllnic in Gujrat
6 Food Paicèls Distnbutions
7 MalÈinty and Chilclrens Hosprtal ProJect
8 Homeless People.- Walsall
g Gaza P￿lect
10 Malawl - Hum8nrfarlan AJd
11 WASUP Project Watsall
FINANCIAL REPORT AND FLFfuRE ACTIVITIES
This was the fvfftnlieth year of the trust and the financlal results ieffeci the period
betweÈn 01st August 202310 31st Juty 2024. The results for the year are sel out on page 7
to 10. The Inrslees are satisfied with the financlal posllion as al 31st July 2022. The
slalernent of financial acbvllies shows a Su￿luS forlhe year and the unrestricted fund
canied fonyard ts SLiffiGlenl lo m8lnlain the Trust al Ils current level.
Trustees
Tha trustees who serve duting the perlod aTe as follows:
1 Professor Abdul Rashid Gatrad OBE (fru5teel
2 Adnana Rar
3 Raheen Mussa
4 ZafarAslam
Si9ned on behalf ol the trust
ProfA R Galr8d OBE
Chalrman (Truste8) Dalè-.
Pana A

PMDLAND INTERIIATIONAL AID TRUST IUKI
STA TEMENT OF TRUSTEES. RESPONS181LITIES
Charity law requires the Ttustee5 to prepare f￿AnCial sl*emenls for each finanual year which 9Nes
a true 2rKI fairview of the stsle of alfair5 of the charity al the year end snd ils incomin9 resourGes and
resource5 expended duilng Ihe year. In preparing those financFal Statements. Ihe Tru5tee5 a￿ required lo:
seleGt suitable accounting p0￿cleS and then apply tjiem ￿sIste￿I￿.
make judgements and esllrnales that are réasonab￿ ¥nd prudent.,
slate whether applKable accounting standards and stalemenls of recommended wactlce
have been folk)wed Subject to any departures disdosed and explained in the financlal
stalemenls: and
prepare the financial strtempnts on the 90ing co￿eM basis unless il Is inappropriate to
presume that the charity vlll continue in Ixt5iness.
The Trustees ale responsible foi keepirwJ proper accounting ￿cOrdS vthich discjose with reasonable
ac¢uracy al any time lfre fjnanaal positton of the charity and enable theem lo ensure that the f¥nanclal
statements comply with the CharIt￿S Act 1993. They are also responstrjle forsafeguarding the assets
of the chariy and hence for takW￿ reas¢Jnab5e steps for the preventh￿ and delectlon cf fraud and
other inegulartlies.
Approved by the Trustees and Signed on Ihey behatp.
ProfA R Gatrad OBE

MIDLAND INTERNATIONAL AID TRUST IUKI
FOR THE YEAR ENDED 31ST JULY 2023
INDEPENDENT EXAMINER'S REPORT
We report on the accounts of Midland International ￿'d Trust IUKlfor the year ended 31st
July 2024 sel out on pages 7 to 8.
RESPECTIVE RESPONSIBILITIES OF TRUSTEES Afr4D EXAMINER
The charity's trustees are respOns￿le for the preperalion of accounls and ¢onsKler that an
independent examinatuion is required.
11 is our responsibility lo.
Examine Ihe accounts under sectuion 145 of the 2011 Ad
lo follow the procedures laid down in Ihe General Oirections given by the
Charily Commission lunder sedion 145151 Ibl ol the 2011 Act). and
lo slate whelhef particulaf matters have come lo our attent￿n.
BASIS OF INDEPENDENT EXAMINER'S REPORT
Our examination was carried out in accordance with Ihe General Direction given by the Charity
Commission.An examination includes a rev*w ol the acLounting records kept by the charity and
comparison of the accounts presented wrth those records. 11 aL80 includes consideration of any
unusual ilemsor disclosures in the accounts. and seeking explanations from you as trustees concerning
any such matte￿. The proce(Juies undertaken do nol pfovmle all the evidence that would be required In
an audil, an¢J consequently we do not express an audrt opinion on the view given by the accounts.
INDEPENDENT EXAMINER'S REPORT
In connection wrth our examinalion, no matter has come lo our attention.
11 which gives us reasonable cause to beI￿ve that in any material respe￿ the
requ1￿MentS
to keep a￿ountIng records in ¥ccofdanee with Seclion 130 of the
2011 Act.. and
lo prepare accounts which accord with the accounting records and
comply with the accounting fequirements of Ihe 2011 Act have not
been Met.. or
2110 which, in our Opin￿n, attention should be drawn in ordef lo enable a proper
understanding of the a¢counts lo be reached.
IS BHATTI & CO LTD
CHARTERED ACCOUNTANTS
1 sl Floor
93 Broad Street
Bimiingham
B15 1AU
Oale..

MIDLAND INTERNATIONAL AID IUKI
STATEMENT OF FINANCIAL ACTIVITIES
From 1st August 2023 to 31st July 2024
Restricted
IncoTh
Funds
Totsl
Thi8
Year
Total
Un￿stricted
Funds
We
Year
Incomln
resources
Donations
101,397
TT,628
179.025
229,821
Interest received on investments
10.842
10.842
S,547
Total Income resources
112,2
9,866
23S,36
Rgsources expended
Genefal offsce and adminslration
expènses
12.679
12.679
8.277
charitab￿ Actmties
149.240
71.263
220.503
248,180
Tot•lresour¢es expended
71.
N•t In¢¢mlnWloutgolngl
resources
49.681
6.365
43,316
-21.089
Total funds brought Iobward
610.411
22.237
632.648
553,737
Total funds carrlèd lorwafd

iWADLAND INTERNATIONAL AID {UK}
BALANCESHEEr
As at31siJulyZJ24
Unrcsucted
Funds
R05tr1rthd
Jn¢orno
Funds
Total
Thls
Year
Totrl
L35t
Year
Nole
Tanglblo assets
100 Birthllts Stseel
160,824
160,824
160.824
1611.8
Cunentas$ots
60,824
.824
Cash al bank end In har
327226
Cash wlth De¢entK*ffarg Sodety
CuTront Llablllt*s
327.226
370.642
1077
107Y
2,077
795
795
Ilot¢urrentaSS8t&qllabllltles)
326M31
Total a$sots l?BS ¢¢iriont
Ilablllll?I
328.SOB
371.824
487,2S5
489A32
532.648
Funds of thtscharlty
Unreslrfctsd f
Reslrfcted In¢om8 fuTrJs
roi&iund&
460,730
610,411
28.602
28.602
22,237
The fingnclalstalemen15 wereappro¥edbyth•Tn4kn oThlslynedon IhelrlJeh*.
ProlA R Galrad OBE
Datv.
Thenol•s on pa908 8 10 10f¢mi ￿rt01 Ihg Ilnpndalslal•nfjnts

MIDLANDS INTERNATIONAL AID TRUST IUKI
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED
315t JULY 2024
11 ACCOUNTING POLICIES
Basi$ of p￿ParatiOn of accounts
The financial stalemenls are Pfepared urMleitl* purpose scnpe arKI ap￿icall0￿ of SORP FRS 102.
SORP 60 slates Accoun15 interKJing to show a true arKI fair view musl be prepa￿ on
the going concein assumption.
SORP 61 slales in meeling the oblwJation to prepare acco￿￿ shO￿n9 a true arbd fail
view accruals accounts should comply wth.
Slalemenl of sla￿lar￿ A￿Ount1￿j PractKe ISSAPS)
Finanoal Reporting SlaTrJards IFRSS)
Urgent Issue Task Force abstracts IUITFS)
arKI in addrtion lake nole of
dl
The inlerprelalion for Publ￿ Berefrt Entit￿ ofthe Statement ol Prin¢M)les
for FinanrJal Reportiry
bl
Accounting Convention
The Financial Slalemenls are prepared underthe historical cost convÈntK)n modthed lo inclL*Ye Ihe
revaluation of ￿rtain assets.
21 DONATIONS
2023
Medical
Orphanage
3.8
2.440
5.405
2.855
Waler Pioje(a
Malawi Water Projects and Sparkle School
Qurbani
Green Bett Housing
Plastic MvJranl Book
Pakistan FlocKJs
Sky ONe
WASUP
Food Pa￿1
Zakat
Donations
3.295
6.614
10.636
16.225
46.898
22.402
2.056
52.
1.547
94.372
3B.910
Sadkha
Fidya
Fitrana
Sindh DiSab￿d Fami
Syria Earthquake
Ttjrkey & Syria Eartr￿uake
Patna Itvjia
6.301
370
285
21.832
1.365
125
14.050
23.915
1.250
9,821
154.011
75.810
17
24
77.628
101.397
Re5tri(aed
Unrestri¢Aed

MIDLANDS INTERPIATIONAL AID TRUST IUKI
31 CHARITABLE ACTIVITIES
Y.E. 31.07.24
Macmillan Cancer Research
Pakistan Eye Project
ScM)k Kalan Free Dis￿nsary Pak &
Qtsrbani
Club Fool Project P3k
F¢xMJ Parcels
KORT Orphanage Pak
Somalia, Zambia. Malaw. Turkey & Patna
Publishing Plastic Migrani Book
24
6.000
19.144
12.0￿)
15.5
3.804
14.197
1.988
Other charitsble Xb¥il*S
146.846
220,503
71.263
149.240
Restrthd
Unrestrthd
41 General offke and •dmbnstr•llon *xpèns•s
Adminioifice Equymenls
Bank Charges
Insurance
A¢counlancy Fees
Rate & Water Rates
Repairs
Eseclricity
Cargo Charges
Traveling
Website Charges
1.694
292
285
795
785
180
841
569
1,233
12.679
51 Ll•bllltle$
2024
795
2023
795
Amoun13 due vnthin year
795
795
61 Flxed Assets
Fixed A5sel consists of a prokwrty bwght by Ihe chawty al 100 Bif¢hill$ Slreet. Walsal.
The property is reported at Ihe ￿$vmefket value. No depreciatw is thar9ed ￿ thi$ properTr.
BIF 0110612023
160,824
Depreciath
CIF 31107124
160.624
71 ReJtrve•
Nats¥esl Cuffenl Account 67582627
Reserve Bank AcAsunt 67582648
Sanlander Time deposit Account 11063584
Decent Wetlarè Scoety Cash Balar
Irwestmènt In 100 Birchills Street
93.293
233.927
2.077
160.824
490.127
Page I