REGISTERED CHARITY NUMBEIL. 1118941
rt f th Tru8tees and
UnAudlted FlnA
¢121 Stat
me
ar
for
THE A123
Ahmed & Co
284 Station Road
Harrow
Middlesex
HAI 2EA

THE AI
ST
Contents of the Financial Statements
for the Year Ended 31 March 2024
P4g¢
Report of the Trustees
Independent Ex&miner'8 Report
Statement of Flnanel&l Actlvltles
Balance Sheet
Notes to the Financlal Statements
9 to 14
Detalled Statement of Fln*nclal Aetlvltles
15

THE A123 TRUST
orto
the Trust
for the Year Ended 31 March 2024
The t￿￿treS present their report with the financial statements of the charity for the year ended 31 March 2024. The
trustees have adopted th¢ provisions of Accounting and Reporting by Charities: Statement of Recommendd Prnctice
applicable to charities preparing their accounts in accordance with the Financial Reporting Standard applicable in the
UK and Republic of Ireland (FRS 102) (effective l January 2019).
ORIECTtVES AND ACTIVITIES
Objectives, Aims and Strategles
Our Alm
Thc objccty of the charity are sel out in the charity's trust deed are SuMn￿Sed as follow$:
The main purpose of the Charity Is to support education in the UK and ov¢rscas, specifically in Kenya.
Further funds raised for the Charity will be used for the relief of financial hardship. 5WStainable dcv¢lopmenL feedins
programmes and health care among people living or working principally, but not exclusively, in the geographical area
of Africa and Asia by providin8 such persons with 8oodslservices which they could not otherwise afford through lack
of means.
To donate funds to urganisations which advance education by providing and assi8tin8 in the provision of facilities for
education in Africa and Asia.
To promote any other charitable purp08e in furtherance of the obj¢cts a8 ihe trus*es from time to time del¢rn)ine.
Our Vlslon
To becotne the UK'S leading Educational TNst to promote education both in th¢ UK and abroad.
Our Mlsslon
To meel the needs of the community by providing and estsblishing a high quality educational instittites and developing
services to meet the social. physical and intellectual needs of all ages and backgrounds, working in partnership with
local public. private and third sector organisations.
To eslabltsh and support sustatnable development projects.
To provide healthcare and relief of hardship through feeding programmes.
Our ObJe¢tlv¢g
To establtsh an efficient and cffective governance structure with clear policic8 and proeedures.
To maintain and stren8then our partncrships Wlth local and national organi5ations to advance and furth¢r the aims of the
charity.
To effectively manage the operalions and expenditure of The A123 Trust with clarity and transparency.
Strote8ley
We want to make The A123 TNst a major source of funding educational establishments whcrcvcr thes¢ may be
required, specifically in Kenya.
Our key strategy during the year was to rnaximise income from our existing investment property and acquire osher
such assets which would generate an on-going income for the Trust in the future.
We Are also considering appointlng a dedicated fundraiser to enable The A123 Trust to establish and support more
significant educational projects.
An important part of our strategy is community welfare and educ8tion for all projects that we support.
Page I

A123 TRUST
ort of the Trustee
for the Ye4r Ended 31 March 2024
ACHIEVEMENT AND PERFORMANCE
Charitable Actlvities
In th¢ fiscal year 2023 -2024, the charity focussed and consolidated on its flve core ledvltleg as follows:
l. Generydl Feedlng and Romadhgn Food Dlgtrlbutlon ¥nd Feeding
2. Educatlon
3. Infras¢ru¢ture capacity
4. Trgmily Support
. Health
l. General Feedlng And Ramadhan Food Dlstrlbutlon and Feedlng
The Feeding Centr¢ ¢stablish¢d in Njiru in 2016 continu¢s to be used to feed hundreds of adults and children and io
support and facililatc local events throughout ihe year. The buying of local produce also helps th¢ subsistence farn)¢rs
in the area #nd provides employment in this largely poor rural area. The centre has also been used as a 'food bank, to
distribute cooking oils. vegetables, and meat to poor local families in the festive seasons r¢gardless of religious or
racial denominations.
R&m*dhan this year saw food distribution across flve eountriel.
Kenya - eirca five hundred monthly food packs same as 2023. consisting of 8kg Flour, two litres Oil. 2kg Sugar. I kg
Salt, 0.5k8 of dates. 4 kg Rice. two pockets of ieabags and som¢ local v¢g¢tables. This was all distributed to the local
poor families in Njiru Mosque (150), Mapotcni (150). Choka (80), Mwiki (80), Daweti Islami (50) and nearby localities
Also provided light meals for fast opening throughout the 30 days to approximately fifty people in the local Njiru
mosque
The Trust has also continued t>UPPOrtinB monthly fceding in Kawangware. a Nairobi Slum area in parlnership with
Cjreen Africa (local NGO operating in Kenya) Home GreLn Afri¥a Global Foundation . Th¢ Trust contribulci> goal
meui f()r thL mcals that are COL)ked locally on site. It alsu Lontinucs to make smdll iontributions to other cbaritics
(Pangani Childrenb centre and Daweti It*lami)
Saudl Ar4bla - 30 days fast openin8 for Circa sixty people sponsored in Ma$Jld-e-Nabwl in Medlna,
Eypt- one hundred food distribution packs distributed to needy families in Cairo
PakSst*n - Food Distribution and Catering for circa 150 children
ngl•desh Money donated to local UK Women's organi88tion who support Ramadan food distribution in
Bangladesh
Other fccding activities of the Tru8t included the following (continuing on from129t year):.
(8) Distributed meat to over 100 nccdy families during the festival of Eid ul Adha.
(b) Hot>t and lund thc Eid ul Milud funLtiun during the festive days over sixty f￿nilieS all¢ndcd.
(d) Donated for Ramadan food distribulion in Yemcll
2. Lducitlon
The A123 Trust wntinue5 to sponsor direct education projects being by various UK and international charities and
welfare associations. The trust has also directly sponsored school fees in some casc5. continuing on a case-by-case
basis. This year. we continued to sponsor the two boys in Eldoret Boarding School, University fees in Karachi, the Siraj
foundation for the education of Blind Girls in Turkey.
This year, the tnjst collaborated with Green AfrleA Home - Green Afrlca Glob¥l Foundailon, to Tevisit the syllabus
and teachers. We have implemented the following cIAs5es.
l. Teaching English to Afghan Refugecs of all agcs
2. Teaching English to Junior Children aged 5 8
3. Teaching English to Middlc Childr¢n from Daweti Islami aged 7 - 12
4. Teaching IT to older children from Daweti Islami aged 12- 17
5. Tc3rbins IT to Middle Children a8ed 7-12
Page 2

THE A12
TRUST
ort of Ihe Tru
for the Ye*r EDded 31 March 2024
The sy118bus remains &8 set up 1&8t year and consists of t￿hIng Internet NAvl£*tlon, BA51c Adv4nted MS
Word, ExceL and Power Poinl. Each class housed between 12-15 pupils, all from thc local arw who had achieved
secondary ￿ll¢atIOn and were looking to augment their IT skills to secure and enhance their job opportunities.
2 Hlk Vlslon Camergs had to be replaced followin8 their theft last year. Security has been strengthened following
these thefts.
The Trust continu¢s to employ three local full-lime employ¢cs and one part time, to Sthff the feeding ceDtre
mdintcnancc and clcaning and also for srfurity of th¢ Orphan ¢hildr¢n housed locally. In addition to the Camera's the
Trnst has paid for and maintains five dogs for security of the equipment and children. The Trust has agreed to fund
three teachers for English and IT provisioned by Green Afric&
3. InfrA5tructure Cwp4cIty
Consolidating on the progress made in Njiru in 2023, In 2024. the trust fLmdeAI the addition of ￿Other stone-built
Llassroom. together with the required classroom furniture and teaching resources. This was to enable smaller class sizes
and to split out the younger children from the older children. The trust funded the repairs of a local road serving the
Njiru mosque and educaiionavfeeding Centre, an essential for th¢ local wpulaiion and Lhildrcn,
4. Famlly Help
The Trust has received request from and helped individual family units after due ¢x8mination of the Circumstances and
eliBibility with ihe Aims and objectives of the Trust. The recipients this year were a local family in Njiru (food rations,
college fees. and transport). Egypt (family feeding support). Pakistan (FOO￿ Medical, Rent, Clothing) family support
for a girl who ¥ufTers frL7m menial illness.
S. Health
The Trust conttnues to support.
l. Great Ormond Street Children's Hospital
2. Multiple Eye Surgery Operations for local family man in Njiru at the Aga Khan hospitsl in Nairobi
Fundralllng actlvltles
Fundr&ising at present is prinwily from the donations by the current donors until Such time that the tNst can afford lo
Appoint a full time administration and fund raising manager in place.
FUTURE PLANS
The Trust's fo¢u8 for next year will b¢ on the following,.
EducAtlon
Continue to consolidatc th¢ educational pro8fdmme and infrastructur¢ in Njlru.
Introduce ass¢ssm¢nts and ccrtification where possibl¢ working with lo¢al parniers.
Continue lo support school and college fees for pupils and families in need.
The trust intends is to continue with the current scope ofwork, until such lime as arrangements C8n be
made with Dgwet-e-lslaml to build a Ioc81 school which offers Islamic and secular subjects to a widc
range of students.
Feedlng Centre
Continue to sustain the f¢edin8 programme.
Continue with the local food bank distribution.
Chlldren's Home (Njlru)
Provide educational resources to support the schooling.
Health
Continue to pay medical bills for deserving local familie5.
Assist with h￿Ithcare provision and teaching in Njiru.
Pag¢ 3

THE A123 TRUST
ort of th¢ Truste
for the Yegr Ended 31 March 2024
STRUCTURE. GOVERNANCE MD MANAGEMENT
Governlng documen¢
The A123 Trust is constituted ￿ a charitable trust registered with the Charity Commission on 25 April 2(K>7 under
charity number 1118941. The charity is controlled by its governing document, a deed of trust created on 10 February
2007. and constitutes an unincorporated charity.
Recruitment and appolntment of new Irnstees
The Trusl D¢¢d govems thL' appointtncnt of the trustees. The board of trustees is authorised to appoint new t￿SteeS to
fill in vacancies arising through reSI￿atiOn or death of an existing trustee.
OryanlsationAI Strueture
The charity Iruste¢s are r¢skX)nsibl¢ for thc g¢n¢rnl control and management of the charity. The tnjstees give their time
freely and receivc no remuneration or oth¢r financial benefits.
The trust¢¢s meet together on a monthly basis to discuss and rcvtew and make decisions in relation to the running of
The A123 Trust and other ￿tiVitieS provided by the charity. To &ssist the Smooth running of the charity. the trust¢¢s
have set UP A number of sub committees. such as fund raisinB. education. whool building projec¢ financial managernent
committees. The Sub committees report back to the full meeting of the truste¢$ for infomation and approval os required.
Inductlon and trainlng of new tru8tees
Following app)intment. new trustees are introduced to their new role and given copies of the trust deed a Code of
Conduct and a guide lo the policies and procedur¢s adopt¢d by the charity.
A number of publications from the Charity Commission are also provided includinB thc guidance on charities and
public bcncfit in ordcr to lo familiarise Ihe new trustees about the Trust's activities thai deliver the public ben¢fil.
This ensur¢s that n¥w Irustees &re aware of the scope of their responsibilities under the Charities Act.
Initially, new trustees work with an exisiing trustee assisting on particular aclivili¢s and projeL'lb' by the charity.
AftLr 4uti%f8clory feedback from cxisting trust¢es. they arL' then giv&￿ th¢ t&sk vf I￿ing a particular activity or proj¢ct,
reporting pr()¥rcss ttt tru5tees' mcclinbts.
REFERENCE AND ADMINISTRATIVE DETAILS
Reglstered Charlty number
1118941
Prlncipal address
153 Norval Road
North Wembley
Middlesex
HAO 3SX
Trustee$
Mr Shamas D¢¢n Awan
Mr Shafkel Dccn Awan
Mr5 Halima Bh8tt1
Mr Raiyan Awan
Ms Azra Awan
Independent Examlner
Tofail Ahmed M.Com, FCA , CTA
Ahmed & Co
284 Station Road
Harrow
Middlesex
HAI 2EA
Page 4

EA12
TRUS
ort of the Tru
for th¢ Year Ended 31 March 2024
Approved by order of the board of trustees on 30 January 2025 and signed on its behalf by:
Mr Shalket Deen Awan- Trustee
Pa¥¥ 5

end t Examlner's Re
ort to the Trn
THE A123 TR
ST
esof
Independent ex*mlner's report to tbe trustees of THE A123 TRUST
I report to the chartty trustees on my examination of the account5 of THE A123 TRUST (the Tn￿1) for the year ended
31 March 2024.
Respon$lbllltles and basls of report
As the cliarity trustce8 nf thc Trust you are reqponsible for the preparation of the accounts in a￿onIanC¢ with the
requirements ofthe Chariti¢s Act 2011 ('the ACV).
I report in respect of my examination of th¢ Trust'5 accounts Carried out under Section 145 of the Act and in carryin8
oui my examinalion I have follow￿ all applicablc Dir¢ctions 8iven by the Charity Commission under Section 145(5)(b)
of the ALI.
Independent examiner's statement
I have completcd my examination. I confirm that no material matters have come to my attention in connection with the
ex8min8tion giving me cause to believe that in any mat¢rial r¢sp¢ct:
accounting r¢cords w¢re not kcpi in respect of the Trust os required by Section 130 of the Act: or
the accounts do not accord with those records. or
the ac¢ounts do not comply with the applicable requirements concerning the forni and conteni of accounts set
out in the Charities IAccounts and Reports) Regulattons 2008 oiher than any requirement that the accounts give
a true and fair view which is not a matter considered as part of an independent examination.
I hav¢ no concerns and hav¢ Come ncross no other matters in Connection with the examination to which attention should
be drawn in this report in order to enable a proper underslanding of the accounts to bc reachcd.
Tofail Ahmed M,cO￿ FCA . CTA
Ahmed & Co
284 Station Road
Ha￿oW
Middleqex
HAI 2EA
30 January 2025
Pa8e 6

A123 TR
Ststement of Financial Activiti
for the Ye*r End
l March 2024
2024
Total
funds
2023
Totsl
funds
Unrestricted
funds
Restricted
fund
Notes
tNCOME AND ENDOWMEwfs FROM
Donations and legacies
88,189
88,189
63.777
Investment income
21
Total
109423
109423
EXPENDITURE OIY
Raising funds
5.485
5,485
3.611
Charitable acdvltles
Treeding the poor and n¢¢dy
Promoting sustainable developments
Supporting educational PToje¢t8
Supporting healthcare projects
Cjovernance
Supporting humanithrian aid efforts
31,125
10.157
16.416
3,962
2.519
31,125
10,157
16.416
3,962
2.519
14,482
7.630
17,775
4.020
3,014
4.459
Total
Net ￿InS on Investsm￿ts
185 000
NET INCOME
220.046
220.046
17,186
RECONC.ILIATION OF FUIYDS
Total funds brought forward
671.910
671.910
654.724
TOTAL FUNDS CARRIED FORWARD
891956
891956
671910
Thc not¢J forni wt of th¢s¢ fuwicial gtatements
Page 7

THE A123 TRUST
Balan¢e
heet
31 March 2024
2024
Total
fimds
2023
Totsl
fundg
Unrcstricted
fun
Restrictcd
fijnd
Notes
FIXED ASSETS
Tangible assets
Invesknent property
1.465
1,465
2.087
646.465
646,465
462,087
CURREIYT ASSETS
Debiurs
Cash at bank and in hand
24,599
227 162
24,599
227 162
11,705
203 738
251.761
251.761
215.443
CREDITORS
Amounts falling du¢ within on¢ year
(6,270)
(6.270)
(5,620)
NET CURRENT ASSETS
245 491
245 491
209 823
TOTAL ASSETS LESS CURRENT
LIABILITIES
891,956
891.956
671,910
NET ASSETS
891956
891956
671910
FUNDS
UnresiriL*d fijnds
10
891956
671910
TOTAL FUNDS
891956
671910
The financial statements wcre approved by the Board of Trustecs and auth0ri5ed for issue on 30 January 2025 and w¢re
signed on it8 behalf by:
Mr Sh8tket Deen Awan - Trustee
The notes forni part of th¢￿ fmancial statcmcnts
Page 8

THE A123 TRUS
t to the Financial Statements
for the Year Ended 31 March 2024
ACCOUNTIIYG POLICIES
Basls of preparlng the fln4nelal statements
The finAncial ststements of the charity. which 18 a public benefit entity under FRS 102. have been prepared in
accordance with the Charities SORP (FRS 102) 'Accounting and Reportin8 by Charities: Staiernent of
Recommended Practice applicable to charities preparing their accounts in accordance with the Financial
Reporting Standard applicable in the UK and Republic of Ireland (FRS 102) (effective l January 2019),.
Financial Reporting Stsndard 102 Th¢ Financial Reporting Standard applicable in the UK and R¢public of
Ir¢lalld' and th¢ Chariti¢s Art 2011. Th¢ fuwicial Stat¢￿¢llts h8ve been prepared under the bistorical cost
onv¢ntion, as modified by the ￿valuation of c¢rtain assets.
Income
AII income is recogniscd in th¢ Stai¢m¢nt of Financial Activitics on¢¢ th¢ charity has ¢ntitlem¢nt to th¢ fimds, it
is probable that the income will b¢ rec¢ived and the amount Can be measured reliably.
ExpeDdlture
Liabilities are recognised as expenditure as soon as there is a legal or constructive obligation committing the
charity to that expenditur¢. it is probable that a transfer of economic benefits will be required in s¢ttlem¢nt and
the amount of thc obligation can be measured r¢liably. Expenditwe is accounted for on an accruals basis and has
been classified under headings that aggreghte all cost related io th¢ cateBOry. Where costs cannot be dIreC￿Y
attributed to particular headings they have been allocated to activities on a basis consistent with the use of
resources.
Tanglble flxed assets
D¢pr¢¢ia(ion 18 provid¢d ai th¢ followi￿ annual raios iu Ord￿ lo ￿11¢ off ¢a¢h 888¢t over Als estimated usefi
lif¢.
Moior vehicles
Computer equipment
250/0 on reducing balance
250/0 on cost
Investment property
Investment property is shown 4t most recent valuation. Any aggregate surplus or deficit arising from changes in
fair value is recognised in the Ststement of Financial Activities.
Tax*tlon
Th¢ charity ts exempt from t￿ on its charitsble activities.
Fund aceountlng
Unrestricted fvnds can be used in accordance with the charitsble obje¢tive8 at the discretion of the trustees.
R¢stri¢t¢d funds can only be used for particular r¢stric*d pury)oKs within th¢ objects of the charity.
Restrictions arise when specified by th¢ donor or when funds are raised for parti¢ular restricted puryK)ses.
Further explanalion of the nature and purpose of fimd is includcd in the notes to the f￿ancial slatements,
Pag¢ 9
Continu￿..

HE A123 T
N les to the Flnanclal Statem
nts- conti
ror the Y¢ar Ended 31 Mar¢h 2024
INVESTMENT INCOME
2024
2023
Rents received
RAISING FUNDS
Investment management Costs
2024
2023
Propety repairs
Rates and water
Landlord's insurance
Ligbt and heal
325
2,296
643
482
TRUSTEES, REMUNERATION AND BENEFITS
There were no truslee8' remuneration or other benefits for the year ended 31 March 2024 nor for the year endeAI
31 March 2023.
Trustees, expen8eJ
There were no tn￿te¢s, expenses paid for the year ended 31 March 2024 nor for the year ended 31 March 2023.
COMPARATtVES FOR THE STATEMEIYT OF FINAIYCIAL AcfIviTIES
Unrestriclcd
funds
Restricted
fuod
Totsl
funds
INCOME AND ENDOWMENTS FROM
Donations and l¢gaLies
62,396
1,381
63,777
InvcstmcDt in¢ome
Totsl
EXPENDITURE OIY
Raiging funds
3.611
3.611
Ch8rll8ble actlvltleg
Feeding the poor and needy
Promotin8 Sustainable developments
Supwrting educational pr()je¢t8
Supporting healthcare projects
Governance
Supporting humanitsrian aid efforts
13,101
7.630
17,775
4,020
3,014
,381
14.4152
7.630
17.775
4,020
3,014
Total
381
IYET INCOME
17,186
17.186
RECONCILIATION OF FUNDS
Totsl funds brought forward
654.724
654,724
Pag¢ 10
ontinued...

A123 TRUST
N testo
lal Stst
rnents-
ontin
f(Jr the Year Ended 31 March 2024
COMPARATIVES FOR THE STATEMENT OF FINAIYCIAL ACTIVITIES - ¢ontlnued
Unrestricted
Restricted
fund
Totsl
funds
TOTAL FUNDS CARRIED FORWARD
671910
671910
TANGIBLE FIXED ASSETS
Motor
vehicles
Computer
equipment
Totsls
COST
At l April 2023 and 31 March 2024
DEPRECIATION
At l April 2021
Charge for year
1,313
422
1.800
200
3.113
622
At 31 March 2024
NET BOOK VALUE
At 31 March 2024
1,265
200
At 31 March 2023
INVESTMENT PROPERTY
FAIR VALUE
At l April 2023
460,1)00
185 000
Revaluation
At 31 March 2024
NET BOOK VALUE
At 31 March 2024
At 31 March 2023
Based on sal¢ pri¢¢s of similar properties in the area and in consultstion with th¢ lo¢al cstate agents. the tru8tces
have valued its investsnent property at £645,000.
Pagcll
Continue￿..

THE A123 TRUST
Notes to the Flnancivdl Statement$-
ontlnu
f r the Yevdr Ended 31 Ma
h 2024
DEBTORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2024
2023
Other debtors
CREDITORS: AMOUNTS FALLING DUE WITHI14 ONE YEAR
2024
2023
oth￿ Credilors
io.
MOVEMEiYf IN FUNDS
Net
movement
At
31.3.24
At 1.4.23
Unregtrleted funds
CJeneral fund
School Buildin8 Project (Nairobi)
571.910
220.046
791.956
671910
891956
TOTAL FUNDS
671910
891956
Net movement in funds. included in the above are as follow8:
Incoming
resources
Resources
expcDdcd
Gains and
losse5
Movement
in funds
Unrestrleted fundj
General fimd
109,423
(74,377)
185.(KlO
220,046
TOTAL FUNDS
109423
Comp•rallve8 for movement In fundi
Nel
movement
in funds
At
31.3.23
At 1.4.22
Unrestrleted thnds
CF¢neral fund
School Building Project (Nairobi)
554,724
17.186
571.910
654 724
671910
TOTAL FUNDS
654 724
671910
Page 12
continued...

THE A123 TRU
IIT t to th Flnan
talements -
ontln
for the Year Ended 31 March 20
io.
MOVEMENT IN FUNDS- contlnued
Comparattve net movement in funds, included in the above are as follows:
Incoming
resowces
Resources
expended
Movement
in funds
Unrestrlcted funds
General fimd
70,796
(53.610)
17,186
Re8trlcled fund8
Zakat Fund
1.381
(1,381)
TOTAL FUNDS
54 991)
A current year 12 months and prior year 12 months combined position is as follows:
Net
movement
in funds
At
31.3.24
Al 1.4.22
Unrestrlcted funds
General fund
School Buildin8 Project (Nairobi)
554,724
237,232
791,956
loo 000
654 724
237 232
891956
TOTAL FUNDS
654 724
237
891956
A currcnt year 12 months and prior year 12 months combin¢d o¢t mov¢m¢nt in funds, included in the above ar¢
as follows:
Incoming
resouwe8
Resources
expende41
Gains And
lo
Movement
in funds
Unre8trleted funds
General fund
180219
(127,987)
185,000
237.232
Re8trlcted fund%
Zakat Fund
1,381
(1,381)
TOTAL FUNDS
129 368)
237 232
Pagc 13
continued...

A123 TR
Notes to the Finan
ial Statements - con
f r thc Year Ended 31 March 2024
li.
RELATED PARTY DISCLOSURES
There were no related paty trnnsactions for the year ended 31 March 2024.
Page 14

THE A123 T
us
etalled Statement of Flnanclal Actlv
r the Ye*r Ended 31 March 2024
2024
2023
INCOME AND ENtK)WMEIYTS
Don8tlonJ and legAcleJ
Donations
Gift aid
Zakat received
77.995
10.194
56.167
6,229
88.189
63.777
Inv￿tMent Income
Rents received
Total Incomlng rejources
109.423
72,177
EXPELYDITURE
IDveJtment management co8lJ
Property repairs
Ra¢e5 and water
Landlord's insurance
Li8ht and he&t
325
2,296
643
482
5,485
3,611
Ch*rltabl¢ actlvltl
Feeding pro8ramme
Sustainable developments
Education81 projects
Healthcare donations
supportll￿ hLllnaniwian aid ¢ffort8
31,125
10,157
16.416
3,962
14,482
7,630
) 7.775
4,020
66,373
48.366
Support ¢0
Governance colts
Telephone
Sundries
Accountancy
Depreciation of motor vehicles
D¢pr￿lation of Computer ￿U1pM¢DI
451
97
1.8(K)
422
2(K)
1.800
563
200
Totsl resources expended
Net Income
Thi5 page does not fomi pmrt of th¢ statutory fman¢ial stst¢m¢nts
Pag¢ 15