Charity No. 1123410
CHAMOS- In Aid of The Children of Venezuela
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
CHARLES OSEI, Bsc {Hons). Msc. FCIE, MCIPP. AFA ATA
CHARITY INDEPENDENT EXAMINER I ACCOUNTANT
FLAT 3. 11 ROCHDALE WAY
LONDON
SE8 4LY

CHAMOS- In Ald of the Chlldren of Venezuela
Reglstorod Charity No.
1123410
TRUSTEES. REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 DECEMBER 2025
CONTENTS
Pago
Legal and Administrative Detsils
2-8
Report of Trustees
9-10
Independent Examiners report
11
Balance Sheet
12
statement of Financial ActiV￿eS
13-15
Notes to the Accounts

CHAMOS - In Aid of the Children of Venezuela
Registored Charfty No.
1123410
ORGANISATIONAL PROFILE
FOR THE YEAR ENDED 31 DECEMBER
TRUSTEES
Chair
Mariana Siblesz de AJ¥arez
Andreina Palma
GracieLa Muci
Maria Antonieta R(xlrvJuez
It*ria TorTrs.West
REGISTERED OFFICE:
Chamos in Aid of the Chlldren of Venezuela
Skjane Square
8larNJel BrNJge House
Suite 8
London
SW1W 8AX
BANKERS:
HSBC UK
5 Wimbledon Hill Road
Wimbkdon
London
SW19 7NF
ACCOUNTANTS:
Charfes Osei. Bsc (Hons). MSC, FCIE. AF& ATA, MCIPP
Flat 3. 11 R￿hdth Way. Deptford London
SE8 4LY

chomos
ANNUAL FINANCIAL REPORT
For the Year Ended 31st December 2025
In the financial year end&J 3111 D￿rnber 2025, Chamos cwated against a rnaterial￿ tighter
exlemal fvnding backdrop. The USAiD funding freeze introduced in January 2025 sharply
reduced the Fxrfjl of ￿pital availaNe to the wmler grants ecosystem. and a large number of
NGOS redireclwj their fvndrassing efforts toward the same pool of non-USAID donors.
Competition intensified. success rates fell, and smaller organisations wrth less capacty to
prepare and submit multiple Fyoposals. and wrthout the scale or track re¢ord of larger peers
fell the pressure most acuteky.
Against that environment. Cham05 was able lo sustain its prog￿rnes through three
reinforcing factors". li) a resilient and dNersified (k)nor base; lil) a sucxessful fijndraising event
¢C￿rganiSed with our Spanish ddegation." and {Ai) a strorvJ opening savings pOsit￿n of
£167,301 carried forward from 2024. Tctyher these allcmied Chamos to continue delivering
meaningful impxt for vulnerable children and young people in Venezuela and. for the first
time at scale. for Venezuelan mwJrant chiklren setuing into r1￿ Iprfes abroad.
Income
Total income for 2025 amounted to £241,793. a decline of 19% Ver$￿ 20241£300.056). The
primary driver of the decrease was a material contr•Aion in Trust and Foundation
Ilnstr(ut￿nal} grarrts, wh￿h fell fr(m7 £109.076 in 2024 to £35,352 in 2025 a reduction of 680
year-on-year. reflecting the ￿luced funding availabiltty and heightened competrtitin described
atKsve. Income frorn events and from indivKlual and corporate donors held up notably well in
this environment.
Events and Other was the largesl single income category at£148,323 {61% of totsl incornel,
up approximatety 20% versus 2024. Of thks, £142.958 was rawl through our ftagship
fundraÈsing event c(>organised with the Spanish Chamos de*ati(x), a Gala Lunch and a
global online Silent Au¢tK)n of exclusive iterns and experiences donated to Chamos. Because
the event was jointty delivered with our Spanish delegth"on. £18.523 of Ihe gross pr￿eedS
were transferred to Spain. A series of addilM)nal London-based &tNtties (including a
"Canaston" toumament. a second-hand clothing sale arKJ a Chrislmas cekbratK)n) further
raised visibilty and conlributed to income and ccthmunty engagement.

chomos
Donations from individuals tOtal￿d £40.590(￿ year-on-year vs. £44,217 in 2024}, vthile
corporate donations am￿nted to £17,5281+5% yearwon-year vs. £16.634 in 2024).
Combined monetary donations therefore ck6ed the year at £58.118 (24% of total income) a
decline of approximatety S% against the 2024 C(￿bined frJure of £60,851. Coryx)rate grving
was broadly maintained through sustsin&J outreach and the effective use of digital lundraising
platfonns.
Instttutional grants Contribulal £35,352 {15% of total income). compared vllih 36% in 2024.
The drop reflects the tighter grants environment rather than a chan9e in our funding pipeline
qualty.. several institutional relationships remaii *ive and are being re-qualffied for 2026.
Of the £241,793 r￿e1Ved, £57,760 124%) was restricted. earmarked for specth¢
programmes. This compares with 49% of income being restr￿ted in 2024, and the change is
explained almost entirety by the fall in institutional grants. whth are typicalty restrited. The
2025 restri(aed figure should be reconciled to the detailed restricted-fvnd ledger before
submission to the audrf(or.
Annual income by Sourco 2025
£241,793 tolal
£40,590
£84.255 35%_
-£IT.528
InsMLthon¢tl
Grants t35.352
EY*rls £64.068
20%
The ¢hart below sets the year in a bonger-run (xJnlexL 2024 stands i)ul as a landmark year for
Chamos.. instttLrtional grants and events income tx)th grew material￿, arKI total income mo
than doubled versus 2023.

chomos
In 2025, institutional granls nonnaltsed dcNmward. but monetary donations and events income
broadty held at 2024 levels, leaving Chamos viilh totsl income well at*)ve the pre-2024
baseline.
Income Trond by Sourc•
202(>2025
•DoMfjMs • In4ihdiond Eyarts aThJ Oth•r
£241.f13
#171013
2130.822
£141592
IOPW6
£122W3
£113Z28
£iOPJB5
f*723P
2021
2022
2023
2024
2025
Expenditure
Total expendiiure for 2025 amounted to £258.850. Charitable project e￿nditUre accounted
for the majorty ofspend at £136,13615rA). fundraising and devek*pmeniaclivty represented
£106,939 (41%). and admin and oVert￿S made up £15,T15 (VA). The comparativety large
fundraising and development line is largety a functsn of the Gala Lunch and Silent Auction,
which was our single latgest inc(Jne source in the year.
Within fundraising and deveknpment. dirttt event costs totalled £28,101. A further £64,068
relates to in-kind donatKJns r￿1ved St￿[fical￿ lor the auction." these are recorded in equal
measure as both inG(￿e and expenditure. to present a faithful picture of the Statement of
Financial Activrf(ies and to offset their impact the reported resutt. The remainder relates to
communications *ivty. maintaining and enhancing the websrte and ￿la1 channels, and
producing printed donor-fau.ng maI￿als.

chomos
54850 total
£¥620
£134136
£42.871
£15.775
6%
Charitable programme expenditure
Charrtable programme expendrture for 2025 vR$ £136,136, allc¢*ed across the three
programme pillars as follchvs (figures per the UK Annual stat￿ent, with programme shares
lied out to the UK Financial Htstory tabl".
EducatM)n & OpFy)rtunities'. £67.820 (50% of programme speThJ)
Waler & Hygiene: £43,6￿ {32% of programme spend)
Health & Nutritw.. £24,620118% of Fwramme spend)
Overview of Charitable Programmes
Charitable programmes are pintry develop￿ and funded wf(h the Chamos Spanish
Delegation., as a result, it is not ahvays possible to separate t￿efi￿arleS belween Chamos
UK and Chamos ES. Allhough resour￿ are managed separatety, yoiects are planned and
delivered collaborativety, which makes strHX enlty-level di8aggregat￿n of beneficiaries
impractical. Figures betow therefore reflect total pr￿[aMMe beneficiaries.
Education and Opportunities
Preparing Young People for a FU￿re *ith Technology expanded t*)Ih basic and advanced
programming lessons for 15-1 &year-oids. strerTrgthening digilal sknlls and broadening future
employment and training pathways. The prctyect also upJraded a school computer lab with
leaming materhqls and improved conn￿1v￿y. supportirKJ digÉkl incluwn. A total of 713
bonofi¢iarios completed the programme, 662 children received training in ￿MpUter skills
and d￿lta1 citvzenship. and 51 teachers were trained #i digital tooLs. In 2025. Chamos

chomos
delivered this initiatNe across five partner schcols in Venezuda, providing computer labs, that
improved sch¢xA infrastructure ar￿ beneffted 2.623 children.
Migrant Children Inclusion Programme
2025 marked a signtficant milestone as we expanded our reach and ￿unched a dedicated
programme for VeneZue￿n mKJrant children and young people alapting to a new life.
The summer integrat￿n programme provid￿ a transfom)ative experEnce for 34
recently arrfved young people aged 10-16, creating a safe and Supportive
communty environment and equipping partKipants wilh I￿1$tO navigate the emotional
challenges of rn￿r8￿n. Camp leaders recer￿1 s￿la1￿$t training in psychological
SUPF*)rt and inlegrydtton, and 24 parents joined ded￿*?￿ sessions tsused on
emotional management and coping strateg￿.
Children on the Pitch. Through a partnership with the Real MadrKI Foundation, 31
migrant children and young people accessed football and basketb811 socio-SPOrtS
$Ch￿ls. The schools provide access to their favourrte sFK)rts within a fun, recreational
and educational setbng. helw'ng partKipants build a sense of beh)nging and SUPF)Orting
their integratb)n into their new Cr￿munities.
Further initiatives. In December 2025. Fundacrf￿ Chamos SFrt)nsored 50 Chlldren
from vulnerable frdmilies in VenezueEa so take part in the Social Season of
La Ll8nada Venezuela". a purwsfrdrpien experien￿, Ir¥ed in communty, that
stre￿thenS their sense of belonging and creates space for the devek)PMnent of key
skills for Iheir personal growth. For many of them. rt was their first opportunty to enjoy
an educational holiday in a safe environmen( ￿coMpanI￿j by mentors and volunteers
committed to tha'r welkbeing.
Water & Hyglene Programmes
Tho OASIS Project transfomis sch(M)bs and Vulnerab￿ o￿nmunI￿.e3 by providing safe
drinking vmter. child-designal recreatsThl spaces, and education on water conservation and
hygiene. In 2025 the fourth Oasis was cOmple￿j. and 929 people beneffted frcm improved
recreational aw$ and reliabk access to clean vrdter. The water-infrastructure workstream
also delivered waterfilters arKI water tanksto partner schools. ensuring access to safe drinking
water for students and school personnel
Health & Nutrition Prograrnrnes
The Nutritional Recovery Programme supp)rts malnourished babies and mothers through
ongoing m8Jical care and famity educab'on, improving health (xjlcomes, child development
and long-temi nutritional awareness. In 2025, 389 babies. children and motherg suffering
from malnutrition were assisted.
The Healthy Community Initiative delivered m8Jical and dental care in rural communities
with limited access lo health services, abngsKle educational sessions on STDS, oral hygiene,

chnmos
heaRhy habrts, nutrttw)n, physical aclivty, chronic disease management, breast cancer
prevention, and safe drinking water. A totsl of 1.409 people benefftgj from these outreach
activitEs.
Transfomiing Lives Through Mobility. We delivered 203 customized pediatric
wheelchairs to children wrth complex needs. each designed to improve comfort, safety and
independeTr￿. Ddiveries We￿ complemented ty physiotherapy sessions for chibjren and
their families. enharNing children's autoTh)my and part￿pation in daity life and reducing the
physical and emot￿nal I￿rden on caregi¥eTr.
In 2025, our prc*3rammes reathed 5,047 beneficiaries, contriixrting to our mission to enhance
the wellbeing of urKlerprivileged chiklren arKI young peop￿ through sustsinable health and
education inrtiatNes. This totsl represents programme participalions and does not correspond
to unique individuals, as some benef￿larieS were reached through muttiple pn)grammes.
Result
Incom￿ Expendiwre, 2021-2025 (£)
Income • ￿pend lure
e150k
ty42k
rio)
3Q21
2￿2
2U24
2￿$

chomos
In 2025 the organization recorded a net loss of (£17,057}. Supported by the £167.301 savings
balan￿ brought forward from 2024. Chamos vms able to absorb this de￿rt and close the year
with cumulative net income of £150.245. Yearend Cap[1￿ furmls were held as £7.709 in the
current account. £31.097 in savings, and £111,438 in money-market deposits, giving the
charity continued Op￿*10nal headrTr)m goirNJ into 2026.
CaFrftslfvndsat 37 December, 2016-2025 (£)
E167k
t175lt
£IXI¢
50k
£93k
£75k
£44k
6k
E8k
JJ16
2017
2018
2019
2(Q4
2D25
Despite a challenging exlemal fijnding environmen( Chamos Suc(￿slU1￿ maintsined and in
several respects eXparKI￿ rts programmes through a strong and byal donor base, the
continued success of the gala luncheon and auction, the launch of our migrant-inclusion
workstream, and disciplined cost management The Board's prK)rity for 2026 is to rebuikl
institutional-grant income Whi￿ protecting the programme delivery ￿paCty built up over the
past years.

CHAklOS- ITr Ald of tho Chlldrgn ofV•n8ZUgla
Registered Charity Mo. 1123410
INDEPENDENT EXAMINER'S REPORT ON THE FINAIICIAL STATEMENTS
TO THE TRUSTEES OF THE CHAIIOS IN AID OF THE CHILDREN OF VENEZiIELA
I r8POrt on the financial statements tsthe ye•r ended 31 Dacember2025 set txrt on pages 11- 15.
This report 1$ made solely to the TnJst8es ofThe Br(￿kr￿￿ Primary Sth¢x4 Asso¢iabon. as a bcxty, in
accordance with regulalK*n8 made under $eclion 145 ofthe Charrbes Ad 2011 and Charity SORP lfrssel. My
work has been undertaken so that I migm $tsle to the Trustees matters l am requi￿ to stale to them in an
IndependeJrt Examinerfs rem and for no othei purwse. To thè lullesl exient ￿e￿Itted by law. I do not accept
or assume responsibilty to anyonè otherthan the Charrty and Charivs trustees for my independont
examination work. forthis remrt or trthe statement I have given bekm.
Resp8ctiv• rnsponslbllltlgs of Trusts￿ and Indo￿ndOnt•XamlnOr
As charity thjstees, forthe wrposes of ctharity law. are responsible for the preparation of the firwi¢ial
3tstements, the Trustees consider that an authl 1$ not required for this year undgr SeCtiC￿ 14412) of the
char￿eS Act 2011 (the Act) and that an Inde￿dent examination is needed.
Havin9 satisfied mJ3eKthal ts Charty is not subject to an audil under CO￿8nY W and is eligible for
indeptndent examinats'on. it is my wponsibilty to..
al examine the ￿coUrtts under seLlion 145 ofthe 2011
bl follow the wccedures dthvn in the g￿1 Dirth￿S given by the Charty C¢)mmiss1c(￿ under saclion
14515}Ibl of Ihe 2011 Act- and
cl sLite whelhtr particular matters have Cl￿ to my attention.
Basis of independent axaminerfs slatrmont
My examination was carried out in accordance wrth the general Direc*ons given by the Charrty Commission.
An &xamination includes a reMew ofthe a¢¢ounkng r￿rdS kept by the Charity, and 8 comparison of the
accounts presented wth those re(ords. It also indudes consider*"on of any unusual rtems or disclosu¥e5 in
the a¢¢ounts and seeking explanauons from you as Tru￿￿5 con(eming any such fflatters. The procedures
dertaken do not provhle all the evKIe￿e that w￿ld be required in an and consequently no opinion is
gNen as to whether the accounls preswrt a *ue aThJ fair vwf the reF*Nts limited to those matters sèt out
in thè statement on the next page.

CHAMOS- In Ald of th• Childr•n ofvwwzuola
Registered Charity Mo. 1123410
INDEPENDENT EXAMINER'S REPORT ON THE FIPIANCIAL STATEMENTS
TO THE TRUSTEES OF THE CHAIAOS IN AID OF THE CHILDREM OF VENEZUELA
In connection with my examwHbon. no matter has (x)me to my attenti￿.
11 whith gives m8 reason￿0 cause to b81ieve Ihat in any matsrial T8spectth8 requiremerts
al to keep arwunting rec¢)rds in accordance with Section 130 of tr* Ch*ibes Act" and
bl to prepare accounts vthich accord wilh the acoyjnling records and ￿rnpty with the a¢￿untIng
raquirèments of th8 Charilies kt
have not been mel: or
2} to which. in my opinion. altention slhyjld be drawn in fxder to enabb a propor (tnderstanding of the
accounts to be reached.
Charfes Osei, Bsc {Hc￿3}, MSC, FCIE. AFA. ATA, MCIPP
Flat 3. 11 Rochdale Way Deptford Lorth SE8 4LY
Date." 281h May 2026
10

CHAMOS - In Ald of the Chlldren of Venezuela
Rogistered Charlty No. 1123410
BALANCE SHE
AS AT 31 DECEMBER 2025
2025
2024
Fixed Assets
Current Assets
Cash at Bank and in hand
150.244
167,301
Creditors.. Amount dLte wthin One Year
Nel AssetslLiabilitses
150.244
167.301
Reserves
General Funds
97,867
52,201
Restricted Funds:
52.377
115,100
150,244
167,301
Approved by the Management Commrttee on
1410512026
and signed on their behaw by..
Mariana Siblesz de Afvarez
Chalr
11

CHAMOS - In Atd of the Children of Venezuela
Reglsteved Charity No. 1123410
STATEMENT OF FINANCIAL ACTMTIES
FOR THE YEAR ENDED 31 DECEMBER 2025
2025
2024
Funds
Funds
T¢>tsl Fund8
Totsl Funds
Resour¢es Arisin
Donations
20,057
38,￿1
58.118
67,239
InstitLrtional Grants
35,352
35,352
109,076
Events and Other
148.323
148.323
123,741
Total Incomo
168.380
73.413
241.793
300,056
Resources Ex nded
Direct Charitable Expenditure
1&8,136
136,136
131,718
Fundraising and Development
106,939
1C6,939
83,305
Administration and Overheads
15.775
15,775
11,919
Totsl Expendrture
122.713
136,136
258,849
226,942
Resources retsined for further use
45.6e
162.723)
{17,057)
73,114
Transfer between Funds
Not Movemgnt in Funds
Rgconciliations of Fund¥
Brought forward 0110112025
52.201
115,100
167.301
94,187
Carried forward 3111Z12025
97.867
51377
150,244
167,301
12

CHAMOS. In Ald of th• Childrgn of Vornzuola
R•ghtered Charity N¢x 1123410
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEMBER 2025
1. A¢¢ountlng Poli¢i•s
Basi¥ of Prwralion.
These accourts have been prepared on an accTual basis and indude in¢))me and expenditure as they are
eamed or in¢xrred, rather Ihan as cash re￿v￿1 or paid. Reference lo the-charrties SORP" refers to the
Chariles SORP IFRS 1021.. AccountÈng ar￿ Re[￿lIng by Chanb"es'. S￿ement of Recommended Pradice
applicable to charibes preparing their acccyjnts in accOrdar￿e with the Financi4 Reports'ng Standard
applicable in the UK and RepU￿rC of Ireland. 2nd edrt￿ effective 1 January 2019. and in accordance with
the Companies Act 2006.
la. Incom•
l incomg 1$ re¢gThsgd ortce th& Charity has entF￿￿rnent to the income, ri is probable that the in¢ome will be
T￿lVed, and the amount ofirthme recep4able ￿ te measured reliatAy.
Grants are induded in the Statement of financial actsyrt￿5 on a re￿i￿able basi$. The balan￿ of income
received for specffic purposes but not exp￿nded during the perwjd is shthvn in Ihe relevant fvnds on Ihe
Balance Sheet Where incomè is received in than￿ of entIt￿ent of receipt. its re￿n[b￿ is deferred and
included in Creditors as deferred income. Where enliuement oc￿r5 before inwne rs re￿iVed. the income is
accnJe(l.
Incorrte tax recoverable in ￿tab"on to donal1c￿S r￿eNed under Gfft or deeds of ￿enant is recognised at
the lime of the donab"on.
Inojme tax reCoVwal￿e in reiatim to Investr￿t income is recogni5&I at the timp the irwèslm&nt income is
re¢ervable.
1b. Expgndltyro
Expenditure is recognised once there 18 a legal or consrtruclive oblvJalKm lo transfer ecenomic benefit lo a
third party, rt is possible th¥1 a transf8f ofeconomic benefits will be required in seluement and the amount of
the obligation ¢an be meawred reliabty.
ExperKliture on th#ritabl• xtivib8s is incurred on direclly urbjertakino the actsvities which furlherthe Charilvs
objeclNes, as well as any aSs￿Lated suppxl costs.
AJI expenditure is indusNe of irrewerable VAT.
le. Govornm8nt grants
Govemment grants we crethled to the statem￿ Offinal*i￿ *Yivrfies as the r*ted expenditure is inuJTred.
1d. Fund a¢¢¢)unting
Unresth"¢Aed Fun(J$ aro rece￿ble or gerErated forthe objth ofthe chantywthoutfurther
sp•cifiad purpose and are availablt as general funds.
Restricted Funds are subJ"e¢ted to restrid¢ons on th￿"r eypendiiure nnposed by the dorKx.
Designated Funds are unrestricled funds but eamwrked by the trustees for parti￿lar wrposes.
13

CHA￿￿. In Ald oftho Children ofvenezuel
Reglstsrnd Charity No. 1123410
NOTES TO THE ACCOUNTS
FOR THE YEAR ENDED 31 DECEM8ER 2025
le. Taxatlon
The Ch8rity is to pass tt* tests set Crtrt in Pwr4h 1 SCI￿dLIe 6 Of1rt￿ FIna￿e Act 2010 and
therefor6 rt méet5 the definrfson of a ¢hartabk cornpany for UK cortM)raty'on tsx purposes. Aco)rdingly, the
Charity is potentialy exempt frtyn taXat￿n in ￿ped of in(a)m& ￿etyrtaI gain5 re￿1¥ed within Categ￿e5
c0vW￿ by Chapter 3 Part 11 ofthe corporati￿ Tax Act 2010 or Sedson 256 ofthe T8¥Atsc￿ of Chargeab
1f. Debtors
Trdde and Olher debt0￿ are rc(gn￿l at Ihe Settle￿ ￿ PrepayT￿ts are at amount prepabl.
lg. Cash at bank In I￿nd
Cash at bank hand irxith cash aTrJ slK)rt-temi hb31* li4ubJ 1rNestTh￿ wilh a 51w)rt matuty ofthree
months or less from date of ac4ui8thn or winwJ of ts ¢k*xii or simikr
1h. Liabilrlias and provisions
Liabilities are re¢c•Jnised thwe is at the tsala￿ slwt date as a resuli ofa past even( it is
probable that a tra￿fer of econL•niC bel￿ wdl be rffjL*￿d in setuwwrt. and fv amount ofthe Set￿￿nI
can be estmated ￿liablY.
Liabilthes are recognised at the amjnt thatlhe ChaTty anw rt vlill pay to sellle the ¢Jebt or the
amount rt has recaved as advan￿ payments for the g￿MIS OT SeThi￿ rt must prov**.
ProviBions ate rrEasured at the best estwnth ofthe anwtts rEqwvJ lo ￿￿Jab"On. the
effec# ofthe time v8lue of money is m*rial. the provtsth i% bawj LN) present 0fth￿ amounts.
di$￿Unted at the p￿taX di8￿UTht rate that refi￿ts the r￿ specthto the liakn"lty. The uMndiNJ ofthe
discount is rec£¥Jnised in the Stalen*nt of financaal acbths as a fina￿*
11. F5ron¢lal Instwrnents
The Chanty only has fina￿la1 assets and finarKial ofa that qualrfy as lInar￿1 irystruments.
Basic financkgl instrJr*nts are I￿￿llY recognised at Iransa(*on value th *jbSequen￿Y rnea5ur￿ at their
Sett￿rnent value wth ￿ excc•on ofbank loan5 susequenuy rneasuT&I at an￿rtI*l using
the effective interest methoJ.
1j. Critical accounting estlrnatrs and area8 of ludgThnt
Estimates and ju(13wents are conimually aThJ are ba￿ ￿ h￿t￿(al exTervKe and otherfactors,
including expectth.ons OffutU￿ events that are belEved to be reasonable under the drumsta¢w. The Charity
doe8 Thjt currenfjy have any signifirant acLYJunb"NJ esb"mates or a￿a$ o11￿￿9e￿￿l
1k. Tangible Fixed Assets
Equiprnent and ot￿r￿nglb￿ assets are ¥knen th8 C£6t k% or more
14

CHAMOS - In Ald ofth• CNldrnn of V•nw￿•
Rogister￿ Charlty No. 1111410
NOTES TO THE ACCOUN
FOR THE YEAR ENDED 3131ST DECEMBER
2 Cash at Bank and In Hand
2025
2024
Currènt Aoxunt
Sawngs Ac£ount
Contigerry FuThJ
Money Markets
Total
7,709
31,1YJ7
25,568
118,954
22,779
111.438
150.244
167.301
Incom•
3 Donatl¢)ns
2025
2024
Indwhluals
Cotporat8s
In-knd
Total
40,590
17,528
44,217
16.634
6,388
67.239
17.528
20.057
38,IA1
58,118
4 Institutional Grants
35.352
109,076
202S
2024
S Events and Othor
Fundraising Event
Irkknnd Auctk)n DonatKffis
Other Income
Total
78.8￿•
78,8
5,365
148,323
148.323
123,741
R8sources
2025
2024
6 Charltable Proleets
Educational & Opportunit
Water & Higiene
Ho¥llh & NUtrit￿n
67.820
24.620
43.6£6
136,136
67.820
24,620
43.6
136.136
131,718
7 Fundrabing and De¥glO￿*nt
Fundraising Event
In-lQnd Aud¥)n Donat*)r
28.101
28,101
14.771
106.939
14.771
104939
Total
8 Admlnl8trallon and O¥*tsads
15.7T5
1S.77S
11,919
15