REGISTERED CHARITY NUMBER= 1122046
d Financial Statement8
F rTh YearEn
319
December 20
for
Worldwide Tr
Cheney & Co
310 Wellingborough Road
Northampton
NN14EP

Mgre Wortdwidè Trus
For The Year Ended 31s
b r2025
Page
Rèport ofthè Truste$8
1 to 2
Indepgndgnt Examlngrf$ RgPQrt
Ststgment of Flnan¢ial Activities
Balance Shgot
Notes to tho Financial St4tsm8nt8
6 to 10
Dgtslled Statgmgnt of Flnanclal Activiti
11

More
Worldvlde Trus
rt of the Trust•&
For The Year Ended 315t D8c8mbor 2025
The trustees present th8ir wrt ￿th fin8n(ial statements ol the charity for the year ended 31$t tkc8mb8r 2025.
The trustees have adopted the prO￿s1On$ of Accounting and Reports￿ by Charities.. Statement of Recornmended
Practice applicable to charities prepariro their aocA)unts in accordan¢% with Ihe Financial Reporting Standard applicable
In the UK and Republic ol Ireland IFRS 1021 leff8cbv8 1 J8nu8ry 20191.
OBJECTIVES AND ACTIVITIES
Obleetlves and alms
The olief 2rKI asskStan￿ of ￿0￿e, inclu¢Jirg orohans and w￿0W8. in any part of thè worfd, who are the w¢lims of war
or natural disa5t8r. trou￿8, ￿ catastrophe by such means deemed suitable.
Significant actlvltles
During th8 year th8 Charty's fotsjs has been to prowde food and Medical supplies f¢r Lebanon despite ihe food
distributs'on hub being destroy￿1 by bombs.
Public benerrt
Th8 trustees have CLsmplied with their duly lo have due regard to thè Charity CoMmiss￿n,$ pub￿ b8nefit gu￿an
wh8n 8xercising Any powers or duties to which the guidance relevant.
ACHIEVEMENTS AND PERFORPIANCE
Charftable actlvltios
The Charty's Statement of F4nancial Aclivity 15 showing a net surplus of £6,78712024- dèficit ol £920.)
DurirKJ 2025. neaty £30,000 vas raised forthe twts Lebanon appeals.
FINANCIAL REVIEW
Reserves policy
Atl fvnds h8ve b88n received from donations. The Charity currendy holds total funds of £10.324 but is looklng lo
inuBase this amount so as to be able lo continue wth it5 work ovètsèas.
FUTURE PLANS
The charity Is looking to continue tt)e wort( in forth coming years to assist victims of war or natural dlsaster whereve¥ the
need arisos and to 1mplernenl the SustainaUe Livelihood Programs ISLPI.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Goveming document
The charity is contrdled by its goveming docUm￿t, a deed of trustand constitutes an unincorporated charity.
R￿rUItment and appointrnent of new trustees
There must b& at least four Trustees. Every Trustee will be a life mgmber by 8 resolutlon of the Trustees pas8ed at a
spe(ial meeling 8very five year5.
In selecting individuals for appointrnenl 8$ Trustees, the Trustges must have regard to th8 skills, kn￿￿90 and
eXper￿n￿ needed for the effectwe administration of the Charrty.
Al 6xesenl there are only Ihree trustees, bul they are actively boking lo teGFUJt a ftsurth.
REFERENCE AND ADMINisfRATIVE DETAILS
Registered Charity number
1 IL046
Prlnclpal address
95 Tomlinson Avenue
Luton
LU14 CQL
Trustees
AAII
Lt B Imtiaz
AHShah
Irtdependent Examiner
Cheney & Co
310 Vvellingborough Road
Nothampton
NN14EP
Pa9e 1

Approved by i>rderolthoMard ol Uu$lg0s on..
and signed on its b¢haKty.
Pegg 2

inerfs
Worl
Merc
Independent examlner's roportto the trustees of Mercy Worldwldo Trust
I report to the charty trustees on my examination of the aC￿nts ol M6rcy Wortdwde Trust (the Trust) for the year
ended 31st Dec8rnbEr 2025
Responslblllfles and ba515 01 report
As thB charity truste8S Df the Trust you a￿ responsble for th8 pr8paration of the accounts in accordan￿ ￿lh the
requiretnonts of the Charitses Act 20111'lheAcVI.
I report in respect of my examination ol the Trusvs accounts carried out under SectDn 145 01 the Act and in carrwng out
My examination I have followed all applicable Directions given by the Charty Commission und* SÈction 14515Xbl of the
Act.
Independent examlnerfs ststement
I have cornpl8ted rny examinab'on. I confirm that no material matters have come to my attention in ￿nneCti￿ with tho
exkminatson giving ffle cause to believe that in any materlal respe
unting records were not kept In rsspect ofthe Ttu31 as required by Section t30 01 the Actr or
tre accounts do not accord with th05& record5', or
the accounts do nol comply wrth It￿ applicable requirements Con￿rning form and (x)ntent of accounts set
Cmjt in the Chari￿?$ (Account5 and Reports) Regulations 2008 other than requiram8nt that the ac￿￿￿1$ give
a trL* and fatr ￿l￿W whith is not a matbr considored as part of an ind8pgndgnl examination.
I have no CDnr£ms and have come across no other matters in Connec￿On with the examinatK)n to whlch attantion shouk
bè drawn in thi$ report in or(J&r to enabb a proper und8r5tanding ofthe 8ccounts to b8 read)ed.
P A Sparks FCA FCCA
Cheney & Co
310 wellingb0ro￿Jh Road
Northampton
NN14EP
Date..
Page 3

Merc
de Tru
nt of Financial Activitie
2025
Total
funds
2024
Total
funds
u[￿estriCt8d
fund
ReStr￿t8d
funds
Notes
INCOME AND ENOOWMENTS FROM
Donatiorts And I￿ac185
29,01S
29,015
11,451
EXPENDITURE ON
Charitsble a¢tivitses
General
756
21,472
22,228
12.371
NET INGOMEI(EXPEND￿uREl
Tran8f8r8 tsets￿n fund8
28,259
121,4721
121,4721
21,472
6,787
19201
Net movement in funds
6,787
6.787
19201
RECONCILIATION OF FUNDS
Total furKls broughtfwar
1537
3￿37
4,457
TOTAL FUNDS CARRIED FORWARD
10,324
10,324
3.537
Th8 note5 form part of these financial stat￿nentS
Page 4

er
ide Tru8
Balance Sheet
2025
Total
fund8
2024
Total
funds
Unrestricted
fund
Restricted
nds
Notes
CURRENT ASSETS
Cash at bank
11A40
11,440
4,653
CREDITORS
AmoL*nts falling du8 within on¢ year
11,1161
NET CURRENT ASSETS
10,324
10.324
3.537
TOTAL ASSETS LESS CURREwf LIABILITIES
10.324
10.324
3,537
NET ASSETS
10,324
10,324
3,537
FUNDS
Unrestrided hjnds
10,324
3,537
TOTAL FUNDS
10,324
3,537
Thè fiftan(i￿ st8temènts weffj 8pprov8d by B(Arrl of Trusteès 8ulhortsed for issue
. and were svjned on its behalf by..
on
A Ali- Trust88
The notes fom part ofthese fin3nrAal statem8nts
Page S

ForThe Year Ended 318t Decemb r 2025
ACCOUNTING POLICIES
Ba$1$ of preparSn9 the financlal statements
The Iinanclal statements of the charity, which is 8 publK benefit entity urKJer FRS 102. have been prepared in
accordanc8 Wth th8 Charities SORP IFRS 1021 'knounting and Repor￿ng by Charilp5.' Statement ol
R8COrnm8nded Pract￿8 applicable to charities preparing their acwunts in acCOrdar￿ with the Financial
Reporting Stsndard aPpI￿able in the UK and Republi¢ Df IrelarKI IFRS 1021 leffe¢tive 1 January 20191,, Financial
Reporting StaThJard 102 'The Financial Reporb"ng Standard applicable in the UK and Republic of Ireland. and thè
CharrtTe$ Act 2017. The financial statements have been prepa￿d under the histoncal cost convention.
The financial statements have been prepared to give a'twe and fairf wew and have departed from the Chariues
IAceounts and Reports) Regulations 2008 only to the extent fequired to provide a 'true and lair V￿w,. Thls
departure has inVo￿ed following the Accounting and Reporting by Charits'es.. Statement of Recommenclèd
Practice applicable to charities preparing their accounts in accordan￿ with the Finanoal Reporting Standard
applicable in the UK and Republic ol Irdand IFRS 1021 issued on 16 July 2014 rather than the Accountsng and
Repo￿ng by Chariles.. Statement of RecommerKled Pradice effec￿Ve from 1 4)ri12(H)5 which has Sin￿ bè8n
wittrvjrawn.
The presentation currency ol the financsal ststements is the Pound Sterling (£1.
Income
JI income is ￿e0￿nised in the Statetnent of Financial Actiwti85 Once the chaity has ent￿ement to Ihe fund8,
is prOba￿e that the income will be received and the amount can be measured rtliabty.
Expendlture
Liabilities are recognised as expeThliture a5 soon as t￿re is a legal or construclive obligation o)mmitting the
charity lo that expenditure, it is probable that a transfer ol economic benefits will be ￿qUIred in Sett￿rnent and
amount ol the obligation can be ￿eaSUred reliably. Expendiluie is accounted for on an acctuals basis and
has been classified under heading5 that aggregate 811 e05t related to the category. Vlfftere costs cannot be
directly attrknuted lo parbcular h8adiw5 they hav8 been alloGgtsd to ac￿ville5 on a basi5 wnsistent with the use
of rèsouic88.
Taxatlon
tharity is exernpt from tsx on its charitsb￿ activrties.
Fund aceountlnu
Unr85tricted tund5 can b& us8d in accordance wilh th8 charitsble objectives at the discretion of thè trust￿.
Re5trict8d fund5 can only ￿ used fix parbw18r restricted PL*rposes wthin the objects of th8 charity. Restriclions
3q8e when specified by the donor orwhen funds are rBised for particular reslllcled purpose5.
Further explanath)n ol the naiure and purpose ol each fLtnd is induded in the notes to financial statements.
LlabIll￿o$
Creditors and provisions are recognised when a present obligation (legal or constructivel has arisen as a result
of a past event Ithe obligating event),. payment is probable and the amount can be estimated reliably.
Th6 amount r8cognised as a piow510n IS the be51 e5tirnate of Ihe 8xpendituie reouiied to 58tle th& present
I￿ation 81 tl* balan￿ 3heet date.
TRUSTEES. REMUNERATION AND BENEFITS
Thère wer8 no trust885' r8rRun8fdtion or other berefits for the year end8d 31st Decembtsi 2025 nor for the year
end8d 31st D￿rnber 2024.
Trustees, expensos
Th8re w8r8 no trustees, expenses paid br the year ￿ded 31st De￿rnber 2025 t￿r for the year erthd
3151 Oec8mbgr 2024.
Page 6
Continued...

Fln
nuad
For Th8 Yezr Ended 31st D8cernb8r 2025
COMPARATIVES FOR THE STATEMENT OF FINANCIAL ACTIVITIES
Unrestrfcted
fund
Restrict
funds
Total
hjnds
INCOME AND ENDOWMENTS FROM
Don8tton8 ￿￿8¢1￿9
11,451
11,451
EXPENDITURE ON
Charttable activlt
General
1,817
10.554
12,371
NET INCOMFJIEXPENDITUREI
Transfots betsveen funds
9,634
110.5541
110.5541
10,554
19201
Net movement in funds
19201
19201
RECONCILIATION OF FUNDS
Total fvnds broughtfcmard
4.457
4,457
TOTAL FUNDS CARRIED FORWARD
3,537
3,537
INDEPENDENT EXAMINERS FEES
2025
2024
Fees paid to the ehattty's accountant for independent examination olthe
charity's annual accDunts
£756
£1,110
CASH AT BANK
Cash al bank and in hand hold to me¢1 short term cash commltmonts as they fall due and includes all cash
equivalents hold in the fom of Short term highly IIquKI Investments. A cash 4u1Va￿nI wll norynally havè a short
rnaturify dats of, say, three rnonths from the dat8 of acqui5ikn'on.
CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Other creditors
1,116
1,116
MOVEMENT IN FUNt)s
Net
movement
in funds
Transfers
between
funds
A11.1.25
31.12.25
UnrestrScted funds
General fuThJ
3,537
28.259
121.4721
10,324
Restricted funds
Ramadan Appeal
Lebanon wnter food appeal
119.0061
12.4661
19,006
2,466
121,4721
21,472
TOTAL FUNDS
1537
6,787
10,324
Page 7
continued...

For The Year Ended 31st December 2025
qOVEMENT IN FUNDS. conunued
Net movement in lunds, included in the above are ss follows.
Incoming
resources
Resources
expended
Movement
in funds
Unre8trictsd fund$
General fund
29.016
17561
28,259
Restrictsd fundB
Ramadan Appe
Lebanon winter appeal
119,0061
2,4681
119,0061
12,4661
121,4721
121.4721
TOTAL FUNDS
29.015
122,2281
6.787
Comparnttves for movement In funds
Net
movement
in fvnds
TransferB
be￿e￿n
funds
At
31.12.24
At1.1.24
Unre8trl¢tgd fund$
General fuThJ
4,457
9,634
110,5541
3,537
Restricted funds
Palestine Sustainability Project
Pakist3n W81far8 Foundation
Lebanon Urgenl Emergency Appeal
15.3751
11.4341
13,7451
5.375
1.434
3.745
110,5541
10,554
TOTAL FUNDS
4,457
19201
3,537
Comparative net movement in fu￿1$, included in the abov8 ar8 a5 follows".
Incoming
rgsourcg5
Resour
gxp8nded
ovemtsnt
in funds
Unro$trtthd funds
G6neral fund
11,451
11.8171
9,634
Restrtcted funds
Palestine Sustairsability Projact
Pakistan W8lf8r8 Foundation
Lebanon Urgent Ernergency Appeal
15,3751
11,4341
13,7451
15,3751
11,4341
13.7451
110,5541
110,5541
TOTAL FUNDS
11,451
112,3711
19201
Page 8
continued...

For Th8 Year Ended 315t Dec8mb8r 2025
MOVEMENT IN FUNDS- contlnued
A current year 12 months and ￿OrYear 12 rnonths combined Po￿t￿n is 85 follow5..
Net
movement
in ftjnds
T¥ansf8rs
bet￿n
fvndj
At
31.12.25
At1.124
Unre8trl¢ted lunds
General fund
4,457
37.893
132.0261
10.324
Restrictsd funds
Rarnadan Appeal
Palestine Suslainabil¢ty Project
Pakistan Wslfar8 Found8tK)n
Lebanon Urgent Ernergency Appeal
Lebanon winter fcth apFeal
119,Cthl
15.3751
11,4341
13,7451
12,4661
19,(O6
5.375
1.434
3,745
2,466
132.0261
32,026
TOTAL FUNDS
4,4S7
5,867
10,324
A currenl year 12 months and prior year 12 months eombined net movement In funds, induded in the above are
as foll￿￿$..
Incoming
resOUr￿S
Resourc85
expended
Movement
in ftjnds
Unrestricted funds
General fund
40.466
12,5731
37.893
Re6trtcted funds
Ratnadan Appgal
Palestine Sustainabilrty Proj8Ct
Pakistan welfa￿ Foundation
Lebani)n Urgent Emergency AppBal
Lebanon wnter food appèAI
I19,or￿)
15,3751
11.4341
13,7451
12.4e61
{19,OC61
15,3751
11,4341
13,7451
12,4661
132,0261
132,0261
TOTAL FUNDS
40,466
134,5991
5.887
The Pakistan Wnter Appeal is a restricted fund raising mon￿9 to pro￿de dothing bedding to the people of
Northern Pakistan.
The Pakistan Welfare Foundats"on is a r&stricte(I fund p¥0￿ct to ￿1p peo￿@ in Iheir daily life pTh￿ing ￿uCatiOn,
funeral serVi￿S and w8ter fi￿￿rS as ex8mpl88.
The Lebanon Urgent Emergency Appeal are rgstricted funds to provhye and medic81 SUPKAies from
distributson hubs.
e Palestine Sustainabillty Project Is 2 ￿$tricted fijnd Yaising monles for cribcAI medlcal Suppl￿ In hospitaLs
arKJ ￿eepIng and cooking proM&on5 forfamilies wthoul h0rn8S
The Lebanon Wnter Appeal is a restricted fur¥J to rai%e rnonies foressenb.al food suppl￿$ in Lebanon.
The Lebanon Ramadan Appeal is a restricted fund to rasse monies to prtivide 313 indmdtsgls with nourtshir
cooked meals for th8 entirety of Ramadan Mubarak.
Page 9
Continued...

ForThg Y•ar Endèd 31st December 20
CONTINGENT UABILITIES
Th8r8 were no contingent liabilthes as at 31st De￿mber 2025 or 31st Decgnber 2024.
CAPITAL COMMITMENTS
There wete no rApitsl commitment5 as at 31st D6cemb&r2025 or 31st December 2024.
10.
RELATED PARTY DISCLOSURES
There were no rdated paty transactions for the year 31st De￿mber 2025 or 31st ￿e￿mI￿r 2024.
Page 10

wldo Trust
Dotalled Sta
For Th• Ye
nclal Activiti85
mber 2025
2025
2024
INCOME AND ENDOWMENTS
Donations and legacie8
Donalons
29,015
11.451
Total incoming ￿SOurceS
29,015
11,451
EXPENDITURE
Charltablo activities
Food and rnedie31 supplles
Travel
Education
21,472
9.120
707
1.434
21,472
11,261
Support costs
Governance costs
Accountancy legAI fees
756
1,110
Total resour￿$ expend8d
22,228
12,371
Net incomellexpenditurel
6,787
19201
This page does not fO￿n part of the statukny financial statements
Page11