Charity No. 1142282
RWANDESE ABAGIMIGAMBI
FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
CHARLES OSEI. Bsc (Hons), Msc, FCIE. MCIPP. AF4 ATA
CHARITY INDEPENDENT EXAMINER I ACCOUNTANT
FLAT 3. 11 ROCHDALE WAY
LONDON
SE8 4LY

RWANDESE ABAGIMIGAMBI
Règistered Charity No.
1142282
TRUSTEES, REPORT AND FINANCIAL STATEMENTS
FOR THE YEAR ENDED 31 JULY 2025
CONTENT
Pag•
Legal and Adminislralive Details
Report f Trustees
Indèpe
dent Examiner's roport
Balanc
Sheet
stalem
nl of FinanclBI Acfjvlllo8
8-10
Notes I
the Accounts

RWANDESE ABAGIMIGAMBI
Registered Charlty No.
1142282
ORGANISATIONAL PROFILE
OR THE YEAR ENDED 31 JULY 2025
TRUSTEES
Chair
Tigasurer
Jannifer Omach
Jessica Olanya
Elvis MushDliars
Racheal Michèlle Nlrerts Shanlall
Principal Officer
Jennlfer Diana Candari-u. KangwBg
REGISTERED OFFICE:
Unlt 2
30 St Thames Road
Barking
IG11 OHZ
ACCOUNTANTS:
Ch8rles Osei. Bsc {Honsl. Msc. FCIE, AFA. ATA, MCIPP
Fl813, 11 Rochdal8 Way, Déptford London
SE8 4LY

RWANDESE ABAGIMIGAMBI
Trustees Report
Reportlng Peylod: Year 1st of August 2024- 31st of July 2025
l am pleased to present the Treasurerfs Report for Rwandese Abagimigambi for the reporting perlod
ending 31st July 2024- 315t July 2025.
During this perlod, the charity continued its commitment to supporting members of the community by
providing guidance. Information, and practical support in relatlon to welfare benefits and employability
support services.
Our charity has actively asslsted members of the local community especially our project target groups in..
Accessing information and advice regarding welfare beneflts
Receiving support with benefit applications and related enquiries
Improving employability skills
Searchlng and applying for employment opportunities
Writing and updating Cvs and cover letters
Preparing for interviews and gaining confidence in job seeking
Our charity has contlnued to make a posltive impact within the community by helping Indlvlduals improve
their financial stabllity and employment prospects. Many beneflciaries have successfully secured employment
opportunities with the support provided through Oltr services.
Immediate plans
The Trustee5 suggested that the Director should look for new premi5e5 mainly in one of the local Centre hubs
to reduce the number of hour5 spent in outreach surgeries, and increase the level of acce55 In terms of
number of potential beneficiaries that can access our services at ease. Barklng city Centre would be the prime
location that would sult all our beneficiaries.
Future Plans
Our charlty wlll continue to provide much needed services and activities to members of the local communlty
especially our projett target groups. We shall continue to provide information, advice, and support to help
prevent or relieve poverty through securin8 benefit entitlements, employment, and tr3inlng.
Furthermore, we will continue to promote social inclusion for the public benefit by working with minority
women, children and their families who are socially excluded on the grounds of thelr ethnic origin to assess
their needs and asslst them to integrate Into society.
Closlng Statement
We would like to thank all volunteers, staff members, funders, donors, and supporters for their continued
dedication and contribution to the charitls work. Their commitment has enabled us to continue sUPPOrtlnE
vulnerable and disadvantaged members of the community.
The charity remains committed to continuing its services and expanding sUPPOrt to those in need within the
wider community.
Submltted by:
Jennifer Omach
Chair of the board of trustees

Treasurerfs Report
Reporting Perlod: Year l of August 2024- 31st of July 2025
Income Generatlon:
Our total income for the year has increased from around £58,700 in the last accounting period to around
£71,500 due mainly to the success in securing funding for our new advice and Information project which we
launched in March 2025 while still receiving the same study amount of fundlng from the National Lottery
community fund for our employability support positive journey to project, and also due to an Increase In the
amount of donations and local community contributions that we have received during the current reporting
perlod.
Expendlture:
Our expenditure has increased by around £8000 due to the launch of our new advice and information project
and the increase in community support activitie5 that we manage to deliver throughout the year.
As a result, our reserves have dropped from around £4150 at the end of the previous accounting Period to
around £2250 at the end of the current accounting perlod.
Principal funding Source:
The good track record and relationship we have built with major funders particularly the National lottery
community fund has greatly strengthened our ability to deliver much needed support and activitie5 to
members of the local community especially our project target groups. and built confidence in our ability to
fundraise for other new and more ambitlous prolects and actlvltles.
As such, our main/principle source of funding falls underthe restricted funds category, representing 85.5% of
our total Income for the current reporting period, with donations and local community contributions
Iunrestricted funds) accounting for the remaining 14.5% of our total income for the same reporting period.
Fin8ncl81 Overvlew
During the reportlng period, the charity received income through Idonations/grants/fundraising/community
supportl. These funds were used responsibly to support the charlt¢s objectives and operational activities.
Expenditure during the period included:
Offlce and admlnlstratlon costs
Communlty outreach and support services
Printing and educational materlals
Volunteer and staff support
Employment and training assistance activities
The charity has maintained approprlate financial controls, and all income and expenditure have been recorded
accurately and transparentlv.
Treasurer
Jessica Olanya

RWANDESE ABAGIMIGAMBI
Reglstered Charlty No 1142282
INDEPENDENT EXAMINER'S REPORT ON THE FINANCIAL
TO THE TRUSTEES OF THE RWANDESE ABAGIMIGAMBI
TATEMENTS
I rew>rt on thelln
ncial 5tatem8nls for Ihe year ended 31 July 2025 sel out on psgfjs 6- 10.
This r8POrt is ma
accordance with
work has b&&n u
Independent Exa
or a58um8 respo
8x8mlnation work
e solelyto the Truste88 of Th8 Rwandese Abagitnigambl. as a body. In
gul81ions made under sè¢titsn 145 of th8 Ch8rilies 2011 8nd Charity SORP Ifrs$el. My
dertaken so that I might st8te to the Trustees matters l am requird to state to them In an
inerfs r8POrt 2nd for no other purpose. To the fullest extent permltted by law, I do not accept
slbllltyto anyone otherthan the Charfty and.Gharitys trustees for my Independent
for this repDrt. orforthe staleTnent I h8V8 given below.
Respective re$p
n$lbllltle$ of TTU5te85 and Independent examlner
As ch8ritytruslee
forthe purpose5 of cha￿ty law. are responslbl8 for the preparallon of Iheffinanclal
statements, Ihe T ust8es consid8r that an audit Is not fequlred for this year und8rs8clion 144121 of the
Charities A¢t 201
{Ihe Ad) and thatan independent ex8mingtion 1$ needed.
Having satisfied
independent exa
y88lf thalth8 Charlly is not sublecl lo an aud5t und8rc0rn￿nY law and is 81igible frjr
Inalion, it is tny iespon5iblllly to..
81 exarnine the accounts under 5ectton 145 of the 2011 Act..
bl follow the proc
14515llbl tsf th
dures laid down Sn thè g6n6r81 Direotions given by th8 CharityCommi$sion8rs un¢Yersecllon
2011 Act,. and
cl state wh8ther p
r￿Cular mafters have come to my attentlon.
Bas1$ of Indèpen
gnt èxamlnerf$ $tstèm8nt
My examlnatlon w
s carded out In aC￿rdan￿O with the general Directions given by Ih8 Ch8rityCommis8ion.
An examination in
ludBS a r8view of the accounting records kept by the Charity. and a Gomparison of Ihe
accounts pr8S8nt
with those r8eords. 11 also includes ¢onsideratlon of any unusual Items or dlsclosure5 in
the ac¢ountB and
etrking p¥pl3n4tion$ from ytsu as Trustges concerning any such
altar6. Tho procedure8
undertaken do no
I provide all the evidence thEt would b8 requir8d in an audil, and
nsequenuy no opinion Is
given as to wheth
r the accDunls présent a'true and frair vierf and the reports litni
d to those tnattgrs 5etout
in th& stat8m8nt o
th6 next page.

RWANDESE ABAGIMIGAMBI
Reglstèred Charlty No. 1123410
NDEPENDENT EXAMINER'8 REPORT ON THE FINANCIAL STATEMENTS
TO THE TRUSTEES OF THE RWANDESE ABAGIMIGAMBI
Indopondènt 8xamlnerfs statem8nt
In connection wlth my exatnlnation. no matter has Come to My attention..
11 which gives me reasonable C8Ltse to bèlitsve that In any material respect tha requir8ments
al to keep accountlng raeords In accordanee with Section 130 of the Chariti88 Act.. and
bl to prepare S￿oUnt$ whlch ao¢ord with the accountlng records and comply wlth the accounllng
requlrements of the Charftles Act
have not beèn met.. or
2) to which, in my oplnion, attention shoukl be drawn In order to enable a proper undersknding of Ihe
accounts to bè reach8d.
Charles Osei. Bsc IHonsl. Msc, FCIE, AFA. ATA. MCIPP
Flat 3, 11 Rochdale Way D8pfford London SE8 4LY
Date.. 1010712026

RWANDESE A8AGIMIGAMBI
RegSstered Charfty No. 1142282
BALANCE SHEET
AS AT 31 JULY 2025
Notes
2025
2024
Fixed Assets
2.400
2,800
Current Assets
Cash al Bank and in hand
349
1,845
Creditors.. Amount due wlthln One Year
15001
15CM)I
Nel AsselslLiabilities
2,249
4.145
R6S&N8S
General Funds
822
17,2511
R951ricted Funds..
1,427
11,396
2249
4,145
Approved by the Managemont Committea on
and slgnod on thelr bèhalf ty.
Jennifer Omach
Chair

RWANDESE ABAGIMIGAMBI
R8gistsred Charlty No. 1142282
STATEMENT OF FINANCIAL ACTIVITIES
FOR THE YEAR ENDED 31 JULY 2025
2025
2024
Unrestrrcted
Fund5
R85tricted
Funds
Notss
Total Funds
Total Funds
Rosources Arlsln
Incorne
10,324
60,842
71.166
58,683
Total Income
10.324
60.842
71,166
58,683
R8source$ Ex
ended
Dlrecl Charitable Expenditure
56,449
56.449
47,019
Management and Adminislratlon
2.251
13,962
16,213
17,817
Governance
400
400
400
Total Exp$ndilur9
2,251
70.811
73,062
65,236
Rèsource$ retained foT further use
8,073
19,9691
11,8961
16,553}
Transfer between Funds
Net Movemènt In Funds
Reconclllatlons of Funds
Brought for4Yard 0110812024
17.2511
11.396
4.145
10.698
Carriod forward 31111712025
822
1.427
2,249
4.145

RWANDESE ABAfjIMIGAMBI
Reglstsred Charlty 1142282
QTES TO THE ACCOUNTS
FOR THEYEAR ENDED 31 JULY 202
1. A¢¢ountlng Policles
Basis of Preparatlon.
Thesg accounts have been prepared on an a¢cnJal basi$ and includè Income and expenditure a5 they arè
earned or incurred, rather than as cash r8ceived OT paid. Referen¢e lo the"ChaTrlie5 SORP" refers to th8
Charlles SORP IFRS 1021.. A¢¢ounling and Reporting by Chari118s'. Slalement of RecornTnended PractFce
applicable to tharitifrs preparing their accounts in 8¢¢ordaD¢e with the Flnan¢ial Reporting Standard
appll¢able in th& UK and Republic of Ir8land. 2nd edition 8ffectiV8 l January 2019, and In aG¢ordan¢e with
th8 Cornp8ni8s Act 2006.
la. Income
All income is ￿CgnI5ed On￿ Ihe Charity has 8ntilllemBnt to th6 income. it probaUB that the IrÈ¢ome will be
r8C8IV8d. and the amount of incorne receivable can be mÈa$ured r&llably.
Grants are included in th8 Statement of financlol o¢llvities on a r8ceivabl8 bas18. The balance of In¢omè
r*¢elvÈd forspeclfic purpo888 but not expl8nded during the pedod18 shown In the r81ev8ntfunds on the
Balance Sheet. Where incornts Is ￿Ce5Ved in advance of entillementof recelpt. Its rgcognltlon is é8f8rred and
Inciudd In creditors as d8fgrred incotne. Where enluernent occurs b8for8 Income is received, the In¢Dm8 js
accrued.
Incorno t&x recoverable Sn relallon to donation5 r8ceived un(lerGrftAid ordeeds of cov8nant is reGo9nised at
th$ of th8 donauon.
Income tgx recoverable In relatlon to inv85trnent inGorne Is re￿gnis8d 8tth6 time thè investmont In¢om8 18
re¢8ivabl8.
1b. Expenditure
Expendituie15 recognlsed once th&re is a legal or ¢onsrtrucliv8 obl￿allon to transfgr e¢enomlc b8n8fit lo a
thlrd pariy. it IS Possible that a transf8r of 8conornic benefits will be requlrad In s8tUement and the 2mounl ol
the obllgauon can be measured reliably.
Expendlturè on charitable adivit(&s is Sncurrod on dirgeuy undertaklng the acliviligs which furiher th& Charfws
oblectives, as ￿11 as any 8SSOCiatetS support costs.
l expenditur$ Is Incluslva of irrecovetable VAT.
1¢. Government grants
Governmenlgrants are credited to the Ststementof financial a¢tivlle$ 8$ th8 r81ated expenditure 1$ in¢urr8d.
1d. Fund accounting
Unre8tricted Funds aro re￿1vable orgenergted forthe objects of the charltywthout further
$pe¢lfi8d puip08e and ale ava112bl8 as genersl funds.
Restricted Funds are subjected to reslricllons on their expeHdliure Imposed by th8 donor.
D8slgnated Funds aro unrestrict8d funds bul earmarked by Iho trust88s for partlcular pU￿￿89s.

RWANOESE ABAGIMIGAMBI
Rogl8t8red Charlty No. 1142282
NOTES TO THE AC
UNTd
FOR THE YEAR ENDED 31
ULY 2025
fe. Tax8tl¢Jn
Th8 Charlty Is ￿nsIder8d lo pass the lesls sel out in P8ragr8ph 1 Schedule 6 of trhe FinBnG&Act 2010 and
therefore 51 maels the deffnlllon of a charitable cornpany for UK corpor8tian fax pU￿Èès. Accordingly, th8
Charity is potenllally e¥empl fftyn laxalioD in respect of In¢otng or capllÈl tralns rècelved ￿thIn cat8gorles
cavered by Chapter 3 Part 11 ofthe Corporation TÉxAct2010 or Séclon 256 of lh8 Taxalon of Ch8rgegble
Gahs Act 1992, to eyztent Ih8t such incorn9 orgalns 8r8 applled axcluslv8ly to cha￿table purposes.
1f. DebloTS
Trqde and other debtOTS ar8 rcognlsed al Ih8 settlement amount. Prepayments aTevalued al arnount pr8pak1.
g. Ca$h at bank and In hand
C8sh 81 bank 8nd In hand Includes cash and short-temi hlghly Ilquld Investments wNh a short malulty of Ihrae
morttr￿ orle88from the dale of 8¢quisition orop8nlnlg ofihe deposit cf wmilar arLounl.
1h. uabll1l1￿ and prov151olls
Li8bllilies arè rÈcooni$od when there Is 8n obligalth al Ihg balance shÉ8t d8ts as a restlt of g past evènt, tt Is
probable that a Iransftr of economic ben&fil will bg required in settlement, 8nd th6 8mount of the SBttlÈm8nt
an bg ostim3led rdlably.
Liabili118s ar8 recognlsed atthe atnount Ihattha Char51y anlicSpates It￿11 pay Io s&tUB the debt orthe
amDunt il has r8ceiv8d as advanced paymènts forlhe goods or sfyrvices il must prothda.
P￿￿$￿)nS are measured atth8 b8s18sllmate of the anK)unts r8qulred to s6ttlethb obligation. Wherè th8
effect of the timtrvalua of mon6y Is m8terfal. provtsion L8 based on Ihe present valutr of Ih0s6 amounts,
dlscounled gt Ihe prE¥tax dis¢ounl rate Ihgt reflpGts lh& risks specific lothe liability. The unwinding of the
discounl is racogntÈed In Ihe Slalemertof fitianclal acUvllk98 as a finance ¢osL
11. Flnanclal Instruments
The Charyly only financial asseis and financigl Ilabllilies of a klnd that qualify 35 bBSIGfinand81 Instrnmenl$.
88si¢ financial inslrurnÈnls are ini118llyrecogni5ed attransactson value and subsequenuy Measu￿ at Iheir
settlement valu8 with th8 8XCC6plion of bank loans whlch are svsequpnlly measured at 8mortlsed cost U51
the efteBtwe Intèrèst m8lhod.
11. Crltlcal accountlny e5tlmatB8 and area¥ ofludyBmFnt
Estlmate8 and judgements èr8 Contlnually evaluated and ar8 based on histmtal èxp8rtenc8 and ofherfactors,
Includin9 e¥pecl81ions of futura events thg18r8 ￿li￿Ved lo be reasonable underth8 drcumst¥nces. The Charity
does not currenlty hav8 any Slgnif￿￿t3Cco￿n11ng eslmates orareas of judgomenl.
1k. Tangible Flxld A88et$
Equlpmenl and other ianglble fiy9d 288èts ar8 C8pfta115ed when Eh9 (X)st ￿ £500 or m(Y
tjepiedgtion un fixed asset Is on slralght Iln6 metknd.

RWANDESE ABAGIMIGAMBI
ReBl¥tsred Charfty No. 1142282
OTES TO THE A¢COUNTS
FOR THE YEAR ENDED 31 31
JULY 2025
2024-25
Total
ASSETS
Equlpment
Cost at 1 Augu5t2024
Additlons
Al 31 July 2025
6,588
8,588
8,588
6,568
clation
At 1 August 2024
Charge for the year
Al 1 Auoust 2024
3,788
400
4,188
3,788
400
4,188
Nel Bwk Valu8 a¢ 31 July 2925
2,400
Net Book Value at 31 July 2024
2,800
3 Cash at Bank and In Hand
2025
2024
CurrenlAccount
Tot81
349
349
1.845
1.845
4 Incom&
Unrestrfctsd R68trlct8d
2025
2024
National Lotterycommunlty
Award forAI
Generated Incom8
Total
41,418
19,424
41.418
19,424
10,324
71,166
55,223
10,324
10,324
3,480
58,683
60.842
Rè80urcès Ex
Brjded
Unre5trioted Restrlcted
2025
2024
S Charitable Projects
Salari&8
Volunteer gxpen56S
staff expenses
Aclivili&s
Tralnlng
Publldtyand Markelln9
Telephone
IT Software & M8lntsnanc8
Total
34.620
3.366
1.275
5.802
34,62
3,866
1,275
5,802
31.461
1.270
4.070
5.289
875
1.935
2,119
1,700
2,186
7,500
56.449
1,700
2.186
7,500
47.019
6 Management and Admlnlstratl(In
Manag8m8nt
Ac¢ountant
Rént
Insur8nC8
Ullllll88 & Ststlon&ry
OffiGe overheads & sub5Griotion5
Other
Total
5.660
600
eoo
13,962
13,962
7.6
509
1,702
1,486
1.13
515
1,136
515
2,251
13,962
16,213
7 Gov0M¥llc6 Costs
Depreciation
400
400
400
10