Doctors
Worldwide
Doctgrs:
IW r)dwide
,4nnu
ort 2021-21.r

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

## **Chair** 

Dr Bushera Choudry 

## **Treasurer** 

Dr Saddaf Alam 

## **Charity Trustees/Directors** 

Dr Ibrar Majid Dr Najeeb Rahman Dr Saddaf Alam Dr Shazaad Ahmad 

## **Chief Executive Officer** 

Monowara Gani 

## **Registered Company Number** 

6389121 

## **Registered Charity Number** 

1122671 

## **Registered Office** 

134 Wellington Road North, Stockport, SK4 2LL 

## **Accountants: and Auditors:** 

Zaheer & Co, Registered Auditors & Accountants, 63 Kingsway, Burnage Manchester, M19 2LL 

**Bankers:** Barclays, 537 Stockport Road, Manchester. M12 4JH 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

## **SECTION A: GOVERNANCE AND OBJECTIVES** 

The Trustees present their annual report for the year ended 31 January 2022. The financial statements signed off by an independent examiner are attached at the end of this report. 

## **1. STRUCTURE, GOVERNANCE & MANAGEMENT** 

## _**1.1 Structure**_ 

Doctors Worldwide is a company limited by guarantee, its governing document being its Memorandum and Articles of Association. The directors of the company are its trustees for the purposes of charity law and under its Memorandum and Articles of Association are collectively referred to throughout this report as The Board of Trustees. The Charity's principal objectives are to relieve need among people who are victims of poverty, famine, disease, natural and man-made disasters, wars and civil wars, irrespective of race, religion, ideology or politics by the provision of comprehensive medical relief worldwide. 

## _**1.2 Governance**_ 

Doctors Worldwide has a Board of Trustees who meet regularly and are responsible for strategic direction and policy. The trustees during the year are listed on page 2-3. 

Day-to-day responsibility for the provision of services and implementation of the strategy is delegated to the Chief Executive, Monowara Gani. 

## _**1.2.1. Recruitment of Trustees to the Board of Trustees**_ 

The Board of Trustees tries to ensure that the needs of this group are fully reflected in the diversity of skills and experience of the Trustee body. The Charity has sought to recruit suitably qualified individuals to use their skills and expertise to assist the work. 

## _**1.2.2 Induction and training**_ 

New trustees are invited to undergo an induction process and familiarise themselves with the Charity and its workings. Use is made of various Charity Commission and other good practice publications, in particular "The Essential Trustee" guide and the Governance Code. 

## _**1.3 Management**_ 

Responsibility for delivering strategy and day-to-day management of operations is delegated to a management team led by the Chief Executive. 

Systems of internal controls are designed to provide reasonable, but not absolute, assurance against material misstatement or loss. They include: 

- A business plan and annual budget approved by the trustees; 

- Regular consideration by the trustees of financial results, variance from budgets, non-financial performance indicators and benchmarking reviews; 

- Delegation of authority and segregation of duties; 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

- Identification and management of risks. 

The trustees also consider business risks and implement risk management strategies. The approach comprises: 

- An annual review of the risks the Charity may face; 

- The establishment of systems and procedures to mitigate those risks identified in the plan; 

- The implementation of procedures designed to minimise any potential impact on the Charity should any of those risks materialize. 

An element in the management of financial risk is the setting of a reserves policy and its regular review by the Board of Trustees. 

## **2. OBJECTIVES & ACTIVITIES** 

## _**2.1 Objectives and Aims**_ 

The Charity's principal objectives as set out in its Memorandum of Association are: 

- a) To relieve need among people who are victims of poverty, famine, disease, natural and manmade disasters, wars and civil wars, irrespective of race, religion, ideology or politics by the provision of comprehensive medical relief worldwide. 

- b) The provision of supplies, food, shelter, education, training, medical personnel, procedures and other charitable assistance to:- 

   - preserve and promote good health and well-being; 

   - overcome disease, injury, illness and malnutrition; 

   - for the benefit of the sick, the poor and peoples and communities affected by conflict, instability, discrimination, disadvantage or disaster throughout the world. 

The main objectives and activities for the year continued to focus on the delivery of healthcare and medical services to the poor and needy. Our strategic objectives are based on: 

- Expanding and improving the quality and reach of existing healthcare service provision in areas and communities we work in. 

- Increasing financial resources through creating long-term strategic partnerships with other charities and growing donor income. 

- Focusing on health system strengthening and developing sustainable solutions. 

- Planning, shaping and delivering services in consultation with service users and local partners. 

- Active participation in the local communities we operate in through engagement with local stakeholders and capacity building. 

- Developing long term and sustainable relationships with partners where appropriate. 

Our projects cover the following three areas or themes: 

- **1) Health Access -** providing access to basic and essential lifesaving healthcare needs. 

- **2) Health Improvement -** strengthening healthcare systems to deliver better healthcare. 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

**3) Health Emergencies -** enabling local communities to meet their health needs when responding to a crisis situation. 

## **SECTION B: ACHIEVEMENTS & PERFORMANCE** 

## **1 PUBLIC BENEFIT** 

The trustees have taken into account the statutory duties of public benefit. This report highlights examples of Doctors Worldwide activities that illustrate how our work fulfils public benefit and the benefits it brings to individuals and communities globally, irrespective of their race, religion, or ethnicity. We have developed strategic plans to make certain that we provide maximum public benefit and achieve our strategic objectives, which fall under purposes defined by the Charities Act 2011. In setting the charity’s objectives and planning activities, the trustees have given careful consideration to the Charity Commission’s general guidance on public benefit. 

## **2 KEY ACHIEVEMENTS OF ACTIVITIES IN 2021/22** 

Doctors Worldwide (“DWW”) is committed to the provision of high quality and affordable healthcare provision and medical relief in low-resource settings. Our work covered the DWW three thematic areas and this year, with the continuation of COVID-19, our work expanded globally through our COVID-19 health systems strengthening and resilience project, as well as direct implementation activities through our projects in Bangladesh, Malawi, Pakistan, Rwanda and Nepal. 

Highlights of 2021/22 include: 

- **162,375 patients have benefited** through our life-saving healthcare activities this year. 

- **Rwanda Palliative Care & Medical Debt Relief -** 1839 people benefited from our Palliative Care project and Medical Debt Relief project this year with 1213 home-based care visits conducted. 66 patients received a holistic package of palliative care including food and shelter and a further 97 children received additional support including education. 10 microfinance projects were launched to support vulnerable families with palliative patients to earn a living. The provision of the DWW community ambulance has facilitated hundreds of COVID vaccinations during lockdown for the most vulnerable and clinically highrisk patients. 157 patients unable to afford medical care including vulnerable mothers and babies had their medical debt cleared by DWW. 

- **Malawi Health System Strengthening Programme -** 50,321 patients, mothers and children received healthcare support, medication, ANC/PNC and safe births. 390 babies were delivered, 1410 ANCs conducted, and 524 PNCs. 20 clinics were also supported through rehabilitation and training opportunities, including providing local midwives, nurses and clinical officers. DWW is in the process of finalising its support to a network of healthcare providers whom DWW will strengthen through the development of its organisation and to support its members to provide quality healthcare. We are also in the process of building a new primary care clinic and maternity clinic in the Balaka area of Malawi. 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

- **Nepal Capacity Building -** we worked with a local NGO that provides healthcare across remote villages and clinics to better prepare and respond to COVID-19. Several training sessions occurred for a variety of healthcare workers as well as assessments to support facilities to be COVID ready using DWW COVID-19 checklist. 

- 

- **Bangladesh PGF, DICE and the Leadership & Governance Conference -** as a result of the PGF and DICE programme, we trained 84 doctors, nurses and medical assistants across 32 clinics to deliver better quality emergency care and humanitarian medicine this year. We also conducted the very first Leadership & Governance conference, training 55 clinical managers from 37 clinics. The PGF project was selected as an example of SDG Good Practices and promoted on the UN DESA platform. The project is also being published in the Second Edition of the _‘SDG Good Practices: A compilation of success stories and lessons learned in SDG implementation’_ . This year we also wrapped up the PGF and DICE programme in preparation of an innovative health system programme that has potential game-changing benefits for the secondary care system across Bangladesh. Termed as the ‘RAD project’, DWW has finalised its partnership with the UNDP with the aim of launching the project in 2023. In summary, our presence in Bangladesh so far with the support of UN IOM resulted in: 

   - 244 healthcare workers trained on the only long-term/4-9 month training in this crisis setting, 191 were junior medical doctors 

   - 91 clinics directly benefited from the training and in-clinic mentoring 

   - 79 clinics and 129 doctors/midwives trained through the Obstetric Emergencies Conference, and the Leadership & Governance Conference 

   - 32, 17, and 15 different NGOs/iNGOs/GOs respectively directly benefited during each project 

   - 129 specialist medical consultants globally have contributed their time voluntarily towards the projects 

   - 55 clinical managers trained via the innovative and first of its kind Leadership & Governance training 

   - More than 30% of the junior doctors trained have gone into leadership positions or more advanced humanitarian healthcare, and public health roles as a result of the PGF (search article ‘Establishing a Postgraduate Fellowship in Humanitarian Medicine - Building Capacity & Ensuring Sustainability in the Rohingya Crisis’ in the Education for Primary Care Journal at www.tandfonline.com) 

   - A number of the participants have been offered international postings to further develop their skills as a result of their involvement and interaction - an opportunity previously unavailable 

   - Over 986,400 patient consultations benefiting with doctors trained through the PGF. 

- **Pakistan healthcare delivery -** as a result of our Pakistan project, 8559 patients benefited this year through vital medical consultation, medication and maternity support for mothers through ANC, PNC and safe births. 2,800 nutritional meals were also provided for the most vulnerable people. In December, DWW hospital in KPK successfully started to move towards the next phase of development with several triangulation activities occurring in preparation. 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

- **Globally and COVID -** we delivered 13 training sessions to support healthcare workers in difficult and resource-limiting settings within the COVID19 context. 16 DWW medical specialists from around the world delivered a variety of topics such as primary care response, vaccines, mental health and more. Countries that benefited include Chad, Ethiopia, Philippines, Kenya, Bangladesh, Pakistan and Nepal. 

In addition to the activities carried out in Bangladesh, Malawi, Nepal, Pakistan and Rwanda, public donation support meant that: 



## **SECTION C** 

## **4. STAFF** 

Our staffing capacity continues to strengthen as we deliver more impactful project. We continued to strengthen our field partners by providing project managers/officers whilst we develop our core team to provide low cost and high impact projects. 

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## **TRUSTEES ANNUAL REPORT FOR THE YEAR ENDED 31 JANUARY 2022** 

## **5. VOLUNTEERS** 

We express our gratitude for the support and expertise we receive from our volunteers, in particular those who gave their time and money travelling and working in our overseas projects or supporting our resource/content development remotely. Supporting medical volunteers has always been a part of Doctors Worldwide vision and commitment, with an increasing role for volunteers to help develop training material for our projects abroad. This year, _**85 medical doctors/consultants engaged with DWW with their time, expertise and input**_ through a variety of activities including provision of telemedicine specialist support, teaching, deployments overseas, peer panel reviews and content development. 

## **6. ACKNOWLEDGEMENTS** 

On behalf of the Board and Trustees we would like to thank all our donors, supporters and volunteers for their help without which none of our work could take place. 

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ZAHEER & COMPANY
CHARTERED CERTIFIED ACCOUNTANTS
AND REGISTERED AUDITORS
DOCTORS WORLWIDE LTD
FINANCIAL ST4YEMENT8 FOR THE YEAR ENDED 31 JANUARY 2022
bompany Ilmiled by guarantge- R8glstTrtlon No. 6389121 (EnJl8nd)
REGIs￿RED CHARITY NO. 1122671
ACCA
63 KlngBway
Burnau8
M8nch8818r M19 2LL
Fax.. 0161 . 248 9899
E-mall.. larroukh@Z8he8randco.wm - Vr*M.zahwdndcox￿.uk
VAT Rfjglslratson Nurnbgr.. 741 2871 39
P8rtnerB'. Mr. Fairoukh Zahoer IFGCAI MRS. Neolam Za￿ar
Tel., 0161 - 248 9898

DOCTORS WORLDWIDE LTD
INDEX
Page
TruBteo5 Report
Ir￿8Pondent Examlne¢8 Report
Summary Of Incom• and Expendlturn Account
Balance Sheet
8tatem¢nt of FinanGlal AthFiIos
Note8 to Ihe Ac¢c¥Jnts

DOCTORS WORLDWIDE LTD
TRUSTEES. REPORT
The trustees (m8nagement committee members) present their Report and the
Financlal Slalements for the year Ended 31 January 2022.
Status
The Doctors worldwide is a registered charity under the charity number 1122671.11 has taxable
aclivrties and is therefore not liable to UK taxalion.11 is, however, unable lo reclaim VAT on
8xpenditure incurred.
Company Registration No.
Charity Registration No.
6389121
1122671
Trustees
The trustees who h8ld office during the ye8r were as follows:
Saddaf Alam
Ibrar Majid
Sh8Z8ad Ahmad
Najeeb Rahman
Dr Bushera Choudry
Bankers
Barclays Bank
Longsighl Branch
537 Stockport Road
Manchester M12 4JH
Accountants
Zaheer & Co , Registered Auditr)rs , 63 Klngsway , Burnage, Manchesler,M19 2LL
Auditors
Zaheer & Co, Regsstered Auditors. 63 Kingsway. Bumage. Manchester, M19 2LL.
OBJECTS
To r81ieve need among people who are victim of poverty, famine, disease. natural and man-
made disasters, wars and civil wars, irrespective of race, religion, ideology or politics by the
provision of comprehensive medical relief worldwide
The charlty Is 8 limlted company by guarantee and Is non-profit making.
Organisational Structure
The charity is a limited company by guarantee. The tnjslees Imanagemenl committee
members) are responsible for the overall management and control of the charity.
Rlsks
The Iruslees have laken stgps to gslablish the risks lo which the charity is exp0s8d and hav8 pul
systems in place to millgate those rlsks.

DOCTORS WORLDWIDE LTD
TRUSTEES, REPORT Icont...)
Revlew of the Results
The trustees consider that thè results set out on pages 5 10 9 are satisfactory. They are of the
opinion that the balanc8 on the funds 18 sufficient lo meet any future commitments.
Fixed Assets
The movement in fixed assets is set out in Note 8 to the Accounts.
Trustees Responsibllltles
Charity law requires the tmslees to prepare accounts for each fin8nci81 year lor
othèr accounting period) which give a tnje and fair view of th& slalo of affairs of th&
Company and of its surplus or deficll for that year. In preparing those flnancial
ststements, the trustees are required to..
select suitable aceounling p)licies and apply them consistently-
make judgements and eslim8tes thal are reasonably prudent.,
prepare accounts on a going concern basis unless il is inappropriate lo presum8 that
the company wll continue in business.
The trustees are responsible for keeplng proper accounting records which disclose
with reasonable accuracy at any time the financlal position of the company and lo
enable them lo ensure that the accounts comply wlh the Charty Act 1993. They
are also responsibl8 for safeguarding the assets of the Gompany and hence for laking
reasonable steps for the prevention and deleclion of fraud and other 1r￿g￿larItieS.
In preparing the above report, the Irustees hav8 taken advantage of special
exemptions applicable lo sm811 companies.
Signed on Behalf of th8 Board:
Company Secretary
Saddaf Alam
- 2022

DotrfoRS WORLDWIDE LTD
.PF.NDF.NT F
'I'O THE .1
DOCTORS WORLDWIDE LTD
I repori on the awounts ofthe D￿'tOrS WoTldwid¢ tAd, re8islercd charliy number 1122671 and company
rL.￿ISltd(1￿n nthnb¢r 6389121 forthc YO￿ ¢n&d 31 st JIn￿ry 2022 whi¢h are s¢t out on wJg¢s 4 to 9.
RF.SPTr.CTtVF. RESPONSIHII,
TF.L*? AND F.XA
I'h¢ ¢harity'$ in￿￿¢$ are responslble for th¢ pr¢paralion foT th¢ a¢¢giints in ￿COrdanCe w'tth the r¢quir¢mcnl of
the Chariti¢s Act 2011 ("Ihc Aet"). lThc charit}'s ¢nist¢O8 ¢Onsid¢r that #n audit Is not rcquircd for this year
(yndL'I' S¢Ction 43(2) of thc CharÉlic$ A¢t 1993 (the 1993 Act) and that an ind¢pendcnt exwnin￿l0n 1$ needed.
li is r¢sponsibility ¢o-.
ex8mine the account8 {Iinder sectioii 145 ofthe 2011 Aa}
LO fullow the Pr￿edu￿￿ laid down in the (ieneral Dir¢¢lioiis given by thl. LhJrity Lommisyioii
luiuler SL'clioJi 145{5Kb) of Ihe Act). artd in acGoTd4tJc¢ l¥RS 102 SORP
- to stale whcth¢F PUrti¢ular mutt¢r8 hav¢ comcto my Ationtion.
IIASIS O) III)F.PTr:Nl)F.YI T F.XAMJNTr.R'S RF.PORT:
My exainijiation caryied out Én ￿e0rdance with ihtr Gencral Directiony gii'Lin by thLh Chllritj,
Lominissioners. An LxAmin&iion includ¢s the aeLounting ￿c￿ld5 kept by lh¢ ¢harlii and * ¢OJ￿￿rIs9
l-die ¥LLoiinl¥ pre¥enied wilh those records. It a]so include5 considcrktlion vf#ny unusual il¢in8 or
disclosures in the accounts und seckin8 explanationy fiDrn you tTuylecJ cnnceming an). siich matter5.
'IThc PToc¢diires undertgkeii do noi provide llll tho ¢viden¢e tlwt wnuld bc requbrcd in an al￿1t, and
consqu¢ntly I do not exprw an audii oplnion on tbo vi¢w 8lven by the Lccounts.
F.IYT:
In wnnKtion wilh our ¢xamination. no Inattcr has como lo my altcntiaii,.
(I I which ¥iwc3 me r¢agon&ble causc to b¢llew thttt.in any mat¢rial re5pca thc T¢quir¢ments
. to keep a¢¢ounilng rg¢ords iTt with s¢rtion 41 of the Act: and
. to proP￿Te tL¢counls which 8¢cord with th¢ ac¢ounlin8 Tccords und to Lomply wilh the occouniing
r¢quirnments of tho A¢t hav¢ not bo¢n m¢L' or
(2) to whic￿ in my opinion, attentioll should bv drawn iii 0￿r to Qnable a prO￿r undeistanding
of the llccounts to be ￿￿hed.
'Mrro
h¢Lir (DCCA)
7Aheer All(1 C¢)mp*lly
Chartered Certified Accounldnts and Re8i8lcred Audityrs
63 Kings*'ay
Ilurnugc
MllnchLSt4r
M19?LL
l)at¢'.

DOCTORS WORLDIAIDE LTD
SUMMARY OF INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 JANUARY 2022
N¢t¢$
2022
2021
Income and Endowments
ExpenditLJre
Nèt income lexpenditurel for the peTW)d
121
523,105
1466,2841
56,821
563,765
1396,181
167,584
131
Net Income lexpendrturel before lax
56,821
167,584
T8x payable
141
Nol income lexpenditurel 8fter t8xation
58,821
167.584
Total Funds 8rought Fo￿ard
593,031
425,447
Total Funds Carded Forward
1121
649,852
593,031
RECONCILIATION OF STATUTORY INCOME AND EXPENDITURE ACCOUNT TO SOFA
for th
ar Aft8r Taxation
Total Net Income for the year per SOFA- Page 6
Tot81 Net Income as above
56.821
56,821
167,584
167.584
Retalned Income Carried FO￿ard
Total funds Cl￿d per SOFA- Page 6
Ret8ined Fund5 Carried Forw8rd as abDV
649,852
649,852
593,031
593,031
The notes on pages 7 to 10 form part of these financial statèmènts.

DOCTORS WORLDWIDE LTD
BALANCE SHEET AS AT 31 JANUARY 2022
2022
2021
Notes
FIXED ASSETS
TangibSe Fixed Assets
181
63
CURRENT ASSETS
191
651,036
651.036
594,206
594,206
LIABILITIES..
Amounts falling du
within one year
{101
1,238
1,238
NET CURRENT ASSETS
849,798
592,968
NET ASSETS
649,852
593.031
ACCUMULATED FUNDS
Unrestricted
Restriet8d
1121
1121
431,692
218,160
649.852
416,385
176,646
593,031
The dlrectors are satisfied that the company is entiled to exemption under section 477 of the
companies Act 2006 and that no member have requested an audit pursuant to section 476 of the Act.
The directors ad(nowledge their responsibility for complying wth the requirements of the companies
Act 2￿6 with respect to accounting records and the preparation of the accounts.
The accounts have been prep8red in accordance wf(h the Provisions applicable to small cornpanies
subject to the sm811 companies reglm8 and in accordance wlth FRS 102 SORP.
Approved on behalf of the Board
Trustee
Saddaf Alam
Trustoe
Busher8 Choudry
Dale,,
2022
Th8 notes on pages 7 to 9 form part of thès* financlal gtatements.

DOCTORS VIORLDWIDE LTD
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JANUARY 2022
Year
Ended
31.1.22
Total
Funds
Year
Ended
31.1.21
Total
Funds
Notes
UnresldGted Restricted Endowm8nt
Funds
Funds
Funds
INCOME AND EXPENDITURE
INCOME AND ENDOWMENTS
12}
Donations and Legacles
Grants
Gift aid
Profit on investment
TOTAL INCOME ANE¢ ENDOWMENTS
56,692
235,700
199,308
292,392
199,308
31,239
166
523.105
263,436
266,993
33,336
31.239
166
88,097
435,008
563.765
EXPENDITURE ON..
Expenditure on raldng funds
151
597
597
5,072
Expenditure on choritable ￿NItieS
(61
72,193
393,494
465,687
391,109
TOTAL EXPENDITURE
17)
72,790
393,494
466.284
396,181
NET INCOME IEXPENDITUREI
NET INCOME BEFORE TRANSFERS
15,307
41,514
56,821
167,584
NET INCOMING {EXPENDITUREI
NET INCOME FOR THE YEAR
15,307
41,514
56,821
176,646
Total Funds Brought Forward
416,385
176,646
$93,031
416.385
TOTAL FUNDS CARRIED FWD
(121
431,692
218,160
649,852
593,031
The notes on pages 7 to g form p8rt of thèse finand81 st8t8m8nts.

DOCTORS WORLDWIDE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 2022
ACCOUNTING POLICIES
Thè financi81 statements have been prepared under the historical ¢ost ConVent￿n and
in accordance with the Financl81 Reportlng Standard for Small&r Entit18s18ffectlve
January 20151 the Accountlng and Reportlng by Charities. Ststement ofrecornTnended pracuce
applicable to charities preparing their accounts in &¢ordan¢e with th8 Flnandal Reporting
Standard for Smaller Entities publish8d on 16th July 2014 ISORP 201518nd the eharities Act
2011 and companies Act 2006.
Income
All Income is included in the statement of fin8ncial activities when the Charity is entitled to the
Sncome.
enditure
All expenditur8 hA$ been ielleeted In the Statement of Financlal Activiti88 on acLrual basis.
Expenditure includ8s any VAT whith can not be fully recovered and 1$ reportod as part of Ihe
Expenditure lo which il relat8S.
Valuation Ca
italisation and D8
reciation of Fix8d Assets
Ftxed assets are included in the accounts at n8t book v81uè.
Depr8clation is provided to wrlte off the cost less th6 estimated reshlual value
of18ngible fixed assets ov8r th8ir estimated useful lives as lollows.'_
Fixture and rrtts'ng8
15Qhon cost
Taxation
The organisation is exempt from Ir￿ome tax by reason of its charitable status.
Income tax suffered on investment income is reclaimed in tull.
Res8tVe8
Th8 organisation aim to rnalntaln sufficient re58rves to c£Jver three months running costs.
INCOME AND ENDOWMENTS
This represents donation receiveable for the provision ol services to members. The company
is a non-wolit making.
NET INCOIAE (EXPENDITURE)
2022
2021
Net income16xp6nditur81 Is st8t8d After charging..
Depr8clatlon- owned assets
TAX ON SURPLUS ON ORDINARY ACTIVITIES

DOCTORS WORLDWIDE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 20221(xJnl...I
Expehdlture on raljlno fund¥
Unrestricted Restrictèd
Funds
Funds
Totsl
2022
Total
2021
Notes
Adv8rt18lng and markelng
Fundralslng 8xpens8S
287
311
287
311
4856
216
597
597
5,072
Exp•ndltur8 on charltablg a￿vItI￿8
Unrestricled Restricted
Funds
Funds
Totsl
2022
Total
2021
Notes
Prolgct expendlturo
Travel expenses
Tralnlng and toursè8 èxpendlture
Staff trainlng
Charltabl8 expendlture
Uganda project
Rwanda project
L8sbos Greece project
Rohingya project
Pakistan project
Nepal project
Malawi project
Covid collabor8tion
Govemance cost
Support cost
58
1,512
1.512
150
2.268
105,228
2,268
105,228
3,000
92,594
15,4g9
175,975
19,250
174.608
20,347
300
90,743
174.608
20,347
300
90,743
34,797
1,543
765
47,536
667
69.956
667
69,956
72.193
393,494
465,687
391,109
Analysls of support cosls
Expendilure Expenditure
on r8ising on charitsble
funds
activitses
Tolal
2022
Total
2021
Accountancy & PayToII
W8ges and nic
Pension
Professional fees
Bank Charges
Pension admln charges
Printing & Stats'onery
Council tsx & water rates
CEO expenses
Telephone
Heal and light
Computer equip. & web hosting
Insurance
Conference expenses
Recruitment exp8ns8s
Exchanga r8t8 V8ri8tion
Sundry expenses
Depr8cialion
1,011
58,104
3,841
1,011
58,104
3.841
1,019
31,458
2.745
6.000
85
366
60
823
12
366
212
366
830
589
598
830
589
145
708
3,042
263
564
807
348
807
348
96
2,539
42
96
2.539
42
670
130
69.956
69,956
47,536

DOCTORS w0RLDV￿DE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 2022l¢ont...19
TANGIBLE FIXED ASSETS
F￿tUre And
Flttings
Total
COST
At 1 February 2021
586
At 31 January 2022
586
DEPRECIATION
At 1 F8bruary 2021
Charge for Year
Al 31 January 2022
523
523
532
532
NET BOOK VALUE
At 31 January 2022
At 31 January 2021
63
63
CURRENT ASSETS
2022
2021
C8sh al bank
C8sh in hand
Cash at Interactive brokers
585,687
795
64.554
651,036
593,411
795
594,206
10
LIABILITIES.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2022
2021
Paye
AccruaL%
458
780
1,238
458
780
1,238
COMPANY STATUS
Thg charity is limited company by guar8nlg0 and has no share capital. All members have
agreed to contribute 8 sum not eKceeding £ 101 £1 for unwaged individuals) in 8v8nt of
winding up.
12
RESERVES
Unr8slrict8d Reslri¢ted
Funds
Funds
Total
2022
Total
2021
Balance 85 at 31.1.2021
Add.'nel income lexpenditur81 for the year
Total Reserv8s
416,385
15,307
431,692
431,692
178.646
41,514
218,16Q
218,160
593,031
56,821
649,8S2
649,852
416.385
176,646
593,031
593,031
Balance carried forward

ZAHEER & COMPANY
CHARTERED CERTIFIED ACCOUNTANTS
AND REGISTERED AUDITORS
DOCTORS WORLWIDE LTD
FINANCIAL ST4YEMENT8 FOR THE YEAR ENDED 31 JANUARY 2022
bompany Ilmiled by guarantge- R8glstTrtlon No. 6389121 (EnJl8nd)
REGIs￿RED CHARITY NO. 1122671
ACCA
63 KlngBway
Burnau8
M8nch8818r M19 2LL
Fax.. 0161 . 248 9899
E-mall.. larroukh@Z8he8randco.wm - Vr*M.zahwdndcox￿.uk
VAT Rfjglslratson Nurnbgr.. 741 2871 39
P8rtnerB'. Mr. Fairoukh Zahoer IFGCAI MRS. Neolam Za￿ar
Tel., 0161 - 248 9898

DOCTORS WORLDWIDE LTD
INDEX
Page
TruBteo5 Report
Ir￿8Pondent Examlne¢8 Report
Summary Of Incom• and Expendlturn Account
Balance Sheet
8tatem¢nt of FinanGlal AthFiIos
Note8 to Ihe Ac¢c¥Jnts

DOCTORS WORLDWIDE LTD
TRUSTEES. REPORT
The trustees (m8nagement committee members) present their Report and the
Financlal Slalements for the year Ended 31 January 2022.
Status
The Doctors worldwide is a registered charity under the charity number 1122671.11 has taxable
aclivrties and is therefore not liable to UK taxalion.11 is, however, unable lo reclaim VAT on
8xpenditure incurred.
Company Registration No.
Charity Registration No.
6389121
1122671
Trustees
The trustees who h8ld office during the ye8r were as follows:
Saddaf Alam
Ibrar Majid
Sh8Z8ad Ahmad
Najeeb Rahman
Dr Bushera Choudry
Bankers
Barclays Bank
Longsighl Branch
537 Stockport Road
Manchester M12 4JH
Accountants
Zaheer & Co , Registered Auditr)rs , 63 Klngsway , Burnage, Manchesler,M19 2LL
Auditors
Zaheer & Co, Regsstered Auditors. 63 Kingsway. Bumage. Manchester, M19 2LL.
OBJECTS
To r81ieve need among people who are victim of poverty, famine, disease. natural and man-
made disasters, wars and civil wars, irrespective of race, religion, ideology or politics by the
provision of comprehensive medical relief worldwide
The charlty Is 8 limlted company by guarantee and Is non-profit making.
Organisational Structure
The charity is a limited company by guarantee. The tnjslees Imanagemenl committee
members) are responsible for the overall management and control of the charity.
Rlsks
The Iruslees have laken stgps to gslablish the risks lo which the charity is exp0s8d and hav8 pul
systems in place to millgate those rlsks.

DOCTORS WORLDWIDE LTD
TRUSTEES, REPORT Icont...)
Revlew of the Results
The trustees consider that thè results set out on pages 5 10 9 are satisfactory. They are of the
opinion that the balanc8 on the funds 18 sufficient lo meet any future commitments.
Fixed Assets
The movement in fixed assets is set out in Note 8 to the Accounts.
Trustees Responsibllltles
Charity law requires the tmslees to prepare accounts for each fin8nci81 year lor
othèr accounting period) which give a tnje and fair view of th& slalo of affairs of th&
Company and of its surplus or deficll for that year. In preparing those flnancial
ststements, the trustees are required to..
select suitable aceounling p)licies and apply them consistently-
make judgements and eslim8tes thal are reasonably prudent.,
prepare accounts on a going concern basis unless il is inappropriate lo presum8 that
the company wll continue in business.
The trustees are responsible for keeplng proper accounting records which disclose
with reasonable accuracy at any time the financlal position of the company and lo
enable them lo ensure that the accounts comply wlh the Charty Act 1993. They
are also responsibl8 for safeguarding the assets of the Gompany and hence for laking
reasonable steps for the prevention and deleclion of fraud and other 1r￿g￿larItieS.
In preparing the above report, the Irustees hav8 taken advantage of special
exemptions applicable lo sm811 companies.
Signed on Behalf of th8 Board:
Company Secretary
Saddaf Alam
- 2022

DotrfoRS WORLDWIDE LTD
.PF.NDF.NT F
'I'O THE .1
DOCTORS WORLDWIDE LTD
I repori on the awounts ofthe D￿'tOrS WoTldwid¢ tAd, re8islercd charliy number 1122671 and company
rL.￿ISltd(1￿n nthnb¢r 6389121 forthc YO￿ ¢n&d 31 st JIn￿ry 2022 whi¢h are s¢t out on wJg¢s 4 to 9.
RF.SPTr.CTtVF. RESPONSIHII,
TF.L*? AND F.XA
I'h¢ ¢harity'$ in￿￿¢$ are responslble for th¢ pr¢paralion foT th¢ a¢¢giints in ￿COrdanCe w'tth the r¢quir¢mcnl of
the Chariti¢s Act 2011 ("Ihc Aet"). lThc charit}'s ¢nist¢O8 ¢Onsid¢r that #n audit Is not rcquircd for this year
(yndL'I' S¢Ction 43(2) of thc CharÉlic$ A¢t 1993 (the 1993 Act) and that an ind¢pendcnt exwnin￿l0n 1$ needed.
li is r¢sponsibility ¢o-.
ex8mine the account8 {Iinder sectioii 145 ofthe 2011 Aa}
LO fullow the Pr￿edu￿￿ laid down in the (ieneral Dir¢¢lioiis given by thl. LhJrity Lommisyioii
luiuler SL'clioJi 145{5Kb) of Ihe Act). artd in acGoTd4tJc¢ l¥RS 102 SORP
- to stale whcth¢F PUrti¢ular mutt¢r8 hav¢ comcto my Ationtion.
IIASIS O) III)F.PTr:Nl)F.YI T F.XAMJNTr.R'S RF.PORT:
My exainijiation caryied out Én ￿e0rdance with ihtr Gencral Directiony gii'Lin by thLh Chllritj,
Lominissioners. An LxAmin&iion includ¢s the aeLounting ￿c￿ld5 kept by lh¢ ¢harlii and * ¢OJ￿￿rIs9
l-die ¥LLoiinl¥ pre¥enied wilh those records. It a]so include5 considcrktlion vf#ny unusual il¢in8 or
disclosures in the accounts und seckin8 explanationy fiDrn you tTuylecJ cnnceming an). siich matter5.
'IThc PToc¢diires undertgkeii do noi provide llll tho ¢viden¢e tlwt wnuld bc requbrcd in an al￿1t, and
consqu¢ntly I do not exprw an audii oplnion on tbo vi¢w 8lven by the Lccounts.
F.IYT:
In wnnKtion wilh our ¢xamination. no Inattcr has como lo my altcntiaii,.
(I I which ¥iwc3 me r¢agon&ble causc to b¢llew thttt.in any mat¢rial re5pca thc T¢quir¢ments
. to keep a¢¢ounilng rg¢ords iTt with s¢rtion 41 of the Act: and
. to proP￿Te tL¢counls which 8¢cord with th¢ ac¢ounlin8 Tccords und to Lomply wilh the occouniing
r¢quirnments of tho A¢t hav¢ not bo¢n m¢L' or
(2) to whic￿ in my opinion, attentioll should bv drawn iii 0￿r to Qnable a prO￿r undeistanding
of the llccounts to be ￿￿hed.
'Mrro
h¢Lir (DCCA)
7Aheer All(1 C¢)mp*lly
Chartered Certified Accounldnts and Re8i8lcred Audityrs
63 Kings*'ay
Ilurnugc
MllnchLSt4r
M19?LL
l)at¢'.

DOCTORS WORLDIAIDE LTD
SUMMARY OF INCOME AND EXPENDITURE ACCOUNT
FOR THE YEAR ENDED 31 JANUARY 2022
N¢t¢$
2022
2021
Income and Endowments
ExpenditLJre
Nèt income lexpenditurel for the peTW)d
121
523,105
1466,2841
56,821
563,765
1396,181
167,584
131
Net Income lexpendrturel before lax
56,821
167,584
T8x payable
141
Nol income lexpenditurel 8fter t8xation
58,821
167.584
Total Funds 8rought Fo￿ard
593,031
425,447
Total Funds Carded Forward
1121
649,852
593,031
RECONCILIATION OF STATUTORY INCOME AND EXPENDITURE ACCOUNT TO SOFA
for th
ar Aft8r Taxation
Total Net Income for the year per SOFA- Page 6
Tot81 Net Income as above
56.821
56,821
167,584
167.584
Retalned Income Carried FO￿ard
Total funds Cl￿d per SOFA- Page 6
Ret8ined Fund5 Carried Forw8rd as abDV
649,852
649,852
593,031
593,031
The notes on pages 7 to 10 form part of these financial statèmènts.

DOCTORS WORLDWIDE LTD
BALANCE SHEET AS AT 31 JANUARY 2022
2022
2021
Notes
FIXED ASSETS
TangibSe Fixed Assets
181
63
CURRENT ASSETS
191
651,036
651.036
594,206
594,206
LIABILITIES..
Amounts falling du
within one year
{101
1,238
1,238
NET CURRENT ASSETS
849,798
592,968
NET ASSETS
649,852
593.031
ACCUMULATED FUNDS
Unrestricted
Restriet8d
1121
1121
431,692
218,160
649.852
416,385
176,646
593,031
The dlrectors are satisfied that the company is entiled to exemption under section 477 of the
companies Act 2006 and that no member have requested an audit pursuant to section 476 of the Act.
The directors ad(nowledge their responsibility for complying wth the requirements of the companies
Act 2￿6 with respect to accounting records and the preparation of the accounts.
The accounts have been prep8red in accordance wf(h the Provisions applicable to small cornpanies
subject to the sm811 companies reglm8 and in accordance wlth FRS 102 SORP.
Approved on behalf of the Board
Trustee
Saddaf Alam
Trustoe
Busher8 Choudry
Dale,,
2022
Th8 notes on pages 7 to 9 form part of thès* financlal gtatements.

DOCTORS VIORLDWIDE LTD
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JANUARY 2022
Year
Ended
31.1.22
Total
Funds
Year
Ended
31.1.21
Total
Funds
Notes
UnresldGted Restricted Endowm8nt
Funds
Funds
Funds
INCOME AND EXPENDITURE
INCOME AND ENDOWMENTS
12}
Donations and Legacles
Grants
Gift aid
Profit on investment
TOTAL INCOME ANE¢ ENDOWMENTS
56,692
235,700
199,308
292,392
199,308
31,239
166
523.105
263,436
266,993
33,336
31.239
166
88,097
435,008
563.765
EXPENDITURE ON..
Expenditure on raldng funds
151
597
597
5,072
Expenditure on choritable ￿NItieS
(61
72,193
393,494
465,687
391,109
TOTAL EXPENDITURE
17)
72,790
393,494
466.284
396,181
NET INCOME IEXPENDITUREI
NET INCOME BEFORE TRANSFERS
15,307
41,514
56,821
167,584
NET INCOMING {EXPENDITUREI
NET INCOME FOR THE YEAR
15,307
41,514
56,821
176,646
Total Funds Brought Forward
416,385
176,646
$93,031
416.385
TOTAL FUNDS CARRIED FWD
(121
431,692
218,160
649,852
593,031
The notes on pages 7 to g form p8rt of thèse finand81 st8t8m8nts.

DOCTORS WORLDWIDE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 2022
ACCOUNTING POLICIES
Thè financi81 statements have been prepared under the historical ¢ost ConVent￿n and
in accordance with the Financl81 Reportlng Standard for Small&r Entit18s18ffectlve
January 20151 the Accountlng and Reportlng by Charities. Ststement ofrecornTnended pracuce
applicable to charities preparing their accounts in &¢ordan¢e with th8 Flnandal Reporting
Standard for Smaller Entities publish8d on 16th July 2014 ISORP 201518nd the eharities Act
2011 and companies Act 2006.
Income
All Income is included in the statement of fin8ncial activities when the Charity is entitled to the
Sncome.
enditure
All expenditur8 hA$ been ielleeted In the Statement of Financlal Activiti88 on acLrual basis.
Expenditure includ8s any VAT whith can not be fully recovered and 1$ reportod as part of Ihe
Expenditure lo which il relat8S.
Valuation Ca
italisation and D8
reciation of Fix8d Assets
Ftxed assets are included in the accounts at n8t book v81uè.
Depr8clation is provided to wrlte off the cost less th6 estimated reshlual value
of18ngible fixed assets ov8r th8ir estimated useful lives as lollows.'_
Fixture and rrtts'ng8
15Qhon cost
Taxation
The organisation is exempt from Ir￿ome tax by reason of its charitable status.
Income tax suffered on investment income is reclaimed in tull.
Res8tVe8
Th8 organisation aim to rnalntaln sufficient re58rves to c£Jver three months running costs.
INCOME AND ENDOWMENTS
This represents donation receiveable for the provision ol services to members. The company
is a non-wolit making.
NET INCOIAE (EXPENDITURE)
2022
2021
Net income16xp6nditur81 Is st8t8d After charging..
Depr8clatlon- owned assets
TAX ON SURPLUS ON ORDINARY ACTIVITIES

DOCTORS WORLDWIDE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 20221(xJnl...I
Expehdlture on raljlno fund¥
Unrestricted Restrictèd
Funds
Funds
Totsl
2022
Total
2021
Notes
Adv8rt18lng and markelng
Fundralslng 8xpens8S
287
311
287
311
4856
216
597
597
5,072
Exp•ndltur8 on charltablg a￿vItI￿8
Unrestricled Restricted
Funds
Funds
Totsl
2022
Total
2021
Notes
Prolgct expendlturo
Travel expenses
Tralnlng and toursè8 èxpendlture
Staff trainlng
Charltabl8 expendlture
Uganda project
Rwanda project
L8sbos Greece project
Rohingya project
Pakistan project
Nepal project
Malawi project
Covid collabor8tion
Govemance cost
Support cost
58
1,512
1.512
150
2.268
105,228
2,268
105,228
3,000
92,594
15,4g9
175,975
19,250
174.608
20,347
300
90,743
174.608
20,347
300
90,743
34,797
1,543
765
47,536
667
69.956
667
69,956
72.193
393,494
465,687
391,109
Analysls of support cosls
Expendilure Expenditure
on r8ising on charitsble
funds
activitses
Tolal
2022
Total
2021
Accountancy & PayToII
W8ges and nic
Pension
Professional fees
Bank Charges
Pension admln charges
Printing & Stats'onery
Council tsx & water rates
CEO expenses
Telephone
Heal and light
Computer equip. & web hosting
Insurance
Conference expenses
Recruitment exp8ns8s
Exchanga r8t8 V8ri8tion
Sundry expenses
Depr8cialion
1,011
58,104
3,841
1,011
58,104
3.841
1,019
31,458
2.745
6.000
85
366
60
823
12
366
212
366
830
589
598
830
589
145
708
3,042
263
564
807
348
807
348
96
2,539
42
96
2.539
42
670
130
69.956
69,956
47,536

DOCTORS w0RLDV￿DE LTD
NOTES TO THE FINANCIAL STATEMENTS FOR THE YEAR ENDED 31 JANUARY 2022l¢ont...19
TANGIBLE FIXED ASSETS
F￿tUre And
Flttings
Total
COST
At 1 February 2021
586
At 31 January 2022
586
DEPRECIATION
At 1 F8bruary 2021
Charge for Year
Al 31 January 2022
523
523
532
532
NET BOOK VALUE
At 31 January 2022
At 31 January 2021
63
63
CURRENT ASSETS
2022
2021
C8sh al bank
C8sh in hand
Cash at Interactive brokers
585,687
795
64.554
651,036
593,411
795
594,206
10
LIABILITIES.. AMOUNTS FALLING DUE WITHIN ONE YEAR
2022
2021
Paye
AccruaL%
458
780
1,238
458
780
1,238
COMPANY STATUS
Thg charity is limited company by guar8nlg0 and has no share capital. All members have
agreed to contribute 8 sum not eKceeding £ 101 £1 for unwaged individuals) in 8v8nt of
winding up.
12
RESERVES
Unr8slrict8d Reslri¢ted
Funds
Funds
Total
2022
Total
2021
Balance 85 at 31.1.2021
Add.'nel income lexpenditur81 for the year
Total Reserv8s
416,385
15,307
431,692
431,692
178.646
41,514
218,16Q
218,160
593,031
56,821
649,8S2
649,852
416.385
176,646
593,031
593,031
Balance carried forward