REGISTERED CHARITY NUMBER: 1149827
REPORT OF THE TRUSTEES
FINANC
STATEMENTS FOR TTrIE YEAR ENDED 30 NOVEAIBER 202
NGS OF HEAUNG
Hollington House
Flrtton Hill
Maulden
Bedfordshire
MK4528E

VaNGS OF HEAUNG
CONTENTS OF THE FTNANCIAL STATEMEN
FOR THE YEAR ENDED 30 NOVEMBER 2023
1 to 2
Ind•pend•nt Examlnerf• Report
ststem•nt of Flnanei•l Actlvlii•8
Statgm•nt of Fln•nci•l Posltl4n
Not•• to the Flnan¢l•l Slatsmonta
8 to 9
D8tsll•d SIAt•mtht of Financlal Acttvltl••
10

PIGS OF HEAUNG
REPORT OF THE TRUSTEES
OR THE YEAR END
D30N
VEIIBER 202
The trustees present their report vmh the firtanctal ststements of the tharity for thg year eThled 30 Nmmber 21Y23. The
trustees have adopted the provisions of Accounting and ReF*Jrbng by Charities". Ststement of Recommended Practice
applicable lo chariti'es preparing their at3x)unts in ac£ordance with the Finan(ial Rep)￿"n9 Standard applicAble in the
UK and Republic of Ireland IFRS 102) leffe1*1￿ 1 January 2019).
OBJECTIVES AND AcnMnES
Objectiveo and aim$
The relief of poverty and provision of medical 8eM¢xs in Afr*an cryjntrth. Providè medi¢xl ￿[e and ard to African
counties. support health *￿rkers. ￿ucat￿ and th￿￿nent. Provtyk equipment and rAher equipment to
achieve targets.
Signlficant a¢tSviti
1. Carrying out surgical Campaign$ in Ethieya to treat *ith i)rgan prolapse vAth 8urglcal treatment
deliv8red at no eost.
2. ProvKling surgie81 and medical equipment. materials and medKine to hospitals in Ethiopia.
3. Training of doctor5 and n¢Jrses to ts)nb"nue supporting and treating *Dmen Petvic Organ Prolap8e.
4. Providing clean sprirvJ water fac4"lib"es through various Spring water proieds.
S. Carrylng Out cerviGal screening in EthiopFa and training of nurses to carry tyJt cervical atreenlng.
8. Swsorlng orpharts. In calibration wrth Mary Joy, and p1*4ng orphans families.
Publ1¢ bonefft
Perftsrrning major gynaecdOgic￿ surgical prttedures. and al80 ¢aryying OLrt SC￿nIr￿j for ceryical cancer in 8 numbgr
of Hearth CentTes in Addis Ababa. lknr frve tfrwsand hwh risk and 011 thosè po811ive for
precancero(t8 condrtYJn8 ¥*we tr¢atad.
ACHIEVEMENT AND PERFORMAMce
Charttabl• actlvltl
Together wlth WHO, Ethiopia wé have c4)ntinu8d with our oW*v88 In pThidirvJ carn in wral ar•a8 and have provided
medical treatment lor poor patlgnts In Ethiopia. W8 8180 ￿rried OLrt and funded tsackning and training ol
gynaecolo9y residents lo treat g￿lt81 W￿8p$O and to eary1￿1 8c¥¥enln9 in Ethiotwa. Wg hav8 also a¢hi8v8d
partnership vthh Ethio)ia Aid wkj h8Vg gh•n grant8 to wpport th¢ we ￿rry OLrt to meet our main otyjective8.
The main activities of tho chawity in the year ￿￿._
1. Carried out 2 surgical camp4￿n$ in Addis Aliaba and Wall4t8 in the south of Ethiopla, to treat wrfh pefvlc
organ prolapse. Surgical tr¢atm•nt wgs delive￿ at no cost.
2. Provided 8urgic81 and medical equipment and medicine lo hosfvls in Ethiop￿.
3. Tralning of 6 doctors and nur8e to continue supportj.ng and treating wcffnen Pelvic Organ Pffjlapse with ov•r 500
8urgerie$ being completed.
4. Provided clean spring water to 250 ￿)us0￿d8 Diu• in Ihe south of Ethiopia as woll as two 8pr&ngs In the Dawuro
tone for 1,200 households. This was through var*￿$ Sprin9 watèr proig¢ts.
5. C8TrioO out cErvical screening in parlnership v*ilh Ethiosxa lo 4,5LXJ *Dmen belng screengd and *￿Men
treated across 7 IntoNenth￿ sitès induding he8tth centres. in the communty and 8 federal prison.
6. Carried out ceThical Screening to more than SC*J women in AAlth$ Ababa vAlh 92 women having abnonnal cervlcal
flnding$ and provided Ireatment to tham.
7 Trained rn0￿ than 50 nur8e¥ to earyy cervical sueening.
8. In coll8boration wth Mary Joy, sponsored ILKI orphans and tA&ed them WTth lamilie#.
9. IDP 8UPPOrt in the yeai for 7.W di$￿aCe￿ in(JMduats in T￿laY region aWre$8ing variou$ health concem$.
10. W• achleved a partnership wth Ethiw"8 Aid have given a number of donati¢ns thrOugh¢￿rt the yeaf totslling
£180,000.
FINANCIAL REVIEW
FlnancFal posltlon
The finanaal posAion of the ehaiity 1$ reported on pages 4 a￿1 5 of tr* Finandal Statèments.
ReB¢rv88 poIi¢y
Donattons at)d reseryes will be used to train African dcttors in treab.ng v8gin81 prolapse and screening for cervical
cancers.They are both major problwns in Africa that affe(#s tens on th(xJsands of 1￿men. Due to WiThJs of Heallng not
having any expensive maintenance costs in the UK the charity w711 not rthwire than £20.orJ) In reseNes to meet rts
expenditu￿ in the UK over the next yeais.
STRUCTURE, GOVERNANCE AND MANAGEMENT
Governing document
Thé charity is C￿ntrOlled by it5 9oveming documem. a iJe•d oflwst and consbhrtes an unine0￿l31ed tharlty.
Page 1

TIIINGS OF HEA
REPORT OF THE TRUSTEES
THE YEAR ENDE
NOVEMBER 20
REFERENCE AND ADIIINISTrATIVE DETAILS
Register•d Charlty numbgr
1149827
Prtnclp81 addyess
10 Linksway
Northwocxl
Middlesex
HA6 2XB
Tru8tse$
O Louca Idec8ased 22.4.23)
Dr M Francis
Miss M Louca
J Louca
Or l Neom•n
Prof G William8
Ind•wd•nt Examln•r
George A Gendy, FCCA
PGA AccL)unlanw & T8Wion SeM¢es
Hollinglon House
Flitton Hill
Maulden
8edfordshiro
MK4528E
Approved by ordef ol th• board oflru8t••8 ￿ 14 Sgptember 2024 and sl9n8d on its b•haW by..
Dr M Fra￿18- TnMle8
Page 2

IPIDEPENDEN
EXAMINER'S REPORT TO THE TRUS
MNGS OF HEALING
Independent oxamin•es rwrt to the trustses ¢f￿ngS of Hèaling
I repc¥t to the tharrty trustees on my examination of the aC￿nIS of Wings of Healing (the Trust) ts the year ended
30 November 2023.
ESOF
Re8pon81blliti•¥ and basis of r•port
As the charity trustees of the Trust you are re4wible tr Ihe PWTaith of the ￿ntS in ￿a￿danc6 with the
quirements ofthe C￿rities Ad 2011 Cthe Arf).
I report in respect of my examination of the Trusvs arL4yJnts canied txrt u￿1 S8dion 145 of th8 Act and in c8rying Out
my examination I have followed all applicabjtr DirwA¥Jn$ given ty the Charity Commi8sk*n undtrr Section 14515}Ib) of
the Act.
Ind•pendent 6xamln•rf8 8tatefflont
Since your chartty's gross income aX￿eded £250.(W your examin¢T MUSI be a membet of a listed body. I can ¢onfim
that l am qualified to undertake th¢ examinatiw b¢caw l am a member of the A8scthtion of Chartorad Cèrtified
AccA)untsnts. whieh 18 ¢)no of the listsd ty0d￿.
I h8ve complgted my examin*ion. I confinn that no m*erial mattets ho¥e OTh to my attention in connerAion wth the
examinatltsn giving me cause to believe that in any Materi￿ respèct..
aecounling record8 ￿re Th)t kept in respect of th• Tn￿t a8 wuirod by 130 ofthe Art or
the acojunts do not ¥ccofd thosè reco¥(Is' or
the accounts do not cornpty vthh the appliCa￿e requirements concerntng th$ fomi and cont&nl of aco)un18 sel
out in the Charities {A¢counts and RerM)rtsl RegLFlalion$ 2C*)8 other thaft any requifftmgnl that the acC￿nts glve
a true and fair vi6w whith 18 rKI a matt•r considered a8 W of •n kndependenl oxamination.
I have no conc8m8 and have come aero38 no othef matters in Connect￿ the examination lo ￿lch attontlon 8hould
thi8 réport in ofd•r to •nabl• a prop8r urthtanding of the acI￿nIS to b8 rg8th8d.
George
Gendy, FCCA
alion of Chartered Certffied Ac)>)untsnts
PGA Aceountsncy 8 Taxation SeThlces
Hollington Hou8t
Flitton Hill
Maulden
Bedford8hir•
MK452BE
14 September 2024
Page 3

WINGS OF HEAUNG
STATEMENT OF FINANCIAL ACTIVITI
FOR THE YEAR ENDED 30 hlOVEMBER 2
30.11.23
Unrpstrir*d
fvn¢J
30.1122
Total
fvnds
Notes
INCOME AND ENDOWMEPITS FROM
Donations and legaoes
409,820
284,371
EXPENDITURE ON
Cha￿￿ble acVvitle•
Providing tree medical Irèalmenl in Ethiopia
Orphanage supplie5 in Ethioria
Suporting the poor in Egypt
WOH Ethiopia
3.521
14,650
2,624
9.429
428,702
Other
265,433
150
188
Total
442,025
292,324
NET INCOMEI{EXPENDITUREI
(32.205)
127,953)
RECONCIUAnoN OF FUNDS
Total funds brought foNMrd
81.586
TOTAL FUNDS CARRIED FORWARD
21.428
53,633
The notes fom part ofthese finanoal *tements
Page 4

WIPIGS OF HEALING
STATEMENT OF FINANCJAL POSITION
VEMBER 2023
30.11.23
Unrestricled
nd
30.11.22
Totsl
ftjnds
FIXED ASSETS
Tangible assets
602
752
CURRENT ASSETS
Debtors
Cash at bank
10.769
10,057
52,881
20,828
52.881
NET CURRENT ASSErs
20,826
52.881
TOTAL ASSETS LESS CURRENT UABiunES
21.428
53,833
NET ASSETS
21,428
53.633
FUNOS
Unre8trided furKfs
21,428
53,633
TOTAL FUNDS
21.428
53,633
The finanual statsments were apwo¥ed by thè Board of Tntstse8 and aLrthori8ed for18Jue on 14 S•ptember 2024 and
were 81gned on *t8 behaff by..
r8nds- Trustse
The notes fomi part of thèse financaal state￿￿18
Page 5

NGS OF
NG
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 30 NOVEMBER 2
ACCOUNTtNG POUCIES
BASIS OF PREPARING ThE FINANCIAL STATEMENTS
The finanual st*ements of the tharrty, is a public benefft entity urth FRS 102, have been preparÈd in
accordan(% th? Charities SORP (FRS 1021 Accounting and Reports"ng by Charities.. Statement of
Recornm*nded PractKe applicable to thaiibes preparing their acrounts in actotdanc8 wrth the Financial
Reporting Standard ap￿l￿ble in thè UK and Republic of l¥eland IFRS 1021 lefledive l January 20191,, Finan¢lal
Reportin9 Standard 102 The Finanoal Rop(ffting slanda￿ apF4Tc8t)le in the UK and Repubjic of Ireland. and the
Chartties Act 2011. The fiTran0￿ statem&nts have been prèpaied undèr the hi8tOit81 cosi convention.
INCOME
All income Is Tecognistrd in the Ststement of FinarKaal Actmties the charity has enl0t1w￿ to the fuThJ8, ft
18 probable that the income will ￿ re￿Ned and the amount can be measured reliabty.
EXPENDITURE
Llabilities are rècogni5ed as ex4)enditure a$ Soon as there 18 a legal or ¢2)n8tFUCtlve obligthn ￿Mmt￿Ing thè
charity lo th* expenditure, it is probable that a transfer ol ￿nOMiC bènefits will ba required in settlement and
thè amount of the obli9ation Can be rneasured reliabty. Ewern*ture is a¢counled for on an ac¢rual$ basis and
has been dassifi8(l under headings th8t aggregat• all cost r•laled to ￿trygory. whe￿ ￿Sts cannot b
dlrectly attributed lo partlculmr headings ty have allocat￿ to athibes on a basis con5iStgni wilh the u88
of resources.
Giants offered subjèrt lo eondilion• hav• n(rt b•en met at the year entt date aro notsd 88 o tsJmmilm8nl
but not accrued 8¥ expentliture.
TANGIBLE FIXED A&8Ef8
Depreciation Is PTovi¢Jed at foJl(Ming annual Tat08 in ￿d&r lo off eath auel 0¥or itB eslimoled useful
TAXATION
Th¥ charty is exempl from tax on ith d￿rItatskn a¢bth.
FUND ACCOUNTING
Unr8$lrict•d fiJnd8 can be used in accordarKe wtth th8 charrtabk obiathve8 at the dI¥Crotk￿ of tho trustso8.
Restricted lund8 ¢an onty b• used for particular restsiclod purp)ses Tmthin tho objects of th• charity. Restrlction8
arrse when 8pecified by the donor or fijnds are raiso(J for ￿tiC￿L￿r rèStiiet￿ purp088S.
Further explanation ofthe natL￿e a￿1 wryJ08e ofeath is in th• not68 10 thè finatK4al thtem•nts.
TRUSTEES. REMUNERATION AND 8EMEFITS
There ￿re no trustse8' remuneralion or other benefits for the year enthd 30 No￿rnber 2023 nor for the y••r
ended 30 Novèrn￿r 2022.
TRUSTEES. EXPENS&8
There were ￿ trustees. expensès PApJ for the ￿ded 30 November 2023 nor for thg year ended
30 November 2022.
COMPARATIVES FOR ThE STATEIIENT OF FIPIANCIAL ACTIWTrES
Unrestricted
fund
INCOME ANO ENDOWPIENTS FROIA
Donations 8nd legaoes
264.371
EXPENDITURE 011
Charltable athiti
Providing free medKxl treatrnerf In Ethiopia
Orphanage supplies in EthKyia
Suporting the trn Egypt
WOH Ethiopia
14,85
2,624
9,429
P8ge 6
continued...

NGS OF HEAU
NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR END
- etsntin￿d
NOVEMBER 20
COMPARATIVES FOR THE STATEMENT OF FIIW4CIAL ACTIVITIES. ¢ontinugd
Unrestricted
fund
Other
Total
292.324
NET INCOMEI{EXPEMDITUREI
127.953)
RECONCIUAnoN OF FUNDS
Tot81 fund8 brought foThvard
81,586
TOTAL FUNDS CARRIED FORWARD
53.633
TANGIBLE FIXED AsseTS
Comptrtor
equipment
COST
At 1 Decomber 2022 arKI 30 November 2023
DEPRECIATION
Al 1 December 2022
Charg8 for y•4r
AI 30 NOwm￿r 2023
1,469
717
150
NET BOOK VALUE
At 30 November 2023
AI 30 Novembgr 2022
752
DE8TORS,. AMOUNTS FALUNG DUE WITHIM ONE YEAR
30.11.23
30.11.22
Other debtor3
10,789
MOVEMENT IN FUNDS
Net
movemfjnl
in luThJs
At
1.1222
Al
30.11.23
Unmtrlctod fund
General fund
(32.205)
21.428
TOTAL FUND3
132,2051
21,428
Page 7
czjnts'nued...

NGS OF HEAUNG
NOTES TO THE FINANCIAL STATEMENTS -
ontinu
FOR THE YEAR ENDED 30 NOVEMBER 2023
MOVEMENT IN FUNDS- ￿rtInu
Net movement in funds. indu￿￿ NJ the aLh)ve are as folIc￿..
IncomiThJ
Resources Movement
in funds
Unrestricted fund
General fijr
(442.025)
132.2051
TOTAL FUNDS
409.820
{442,0251
{32,205)
Comparath¥ for mov•m•nt In fund•
Net
movomgnt
In fundB
At
1.12.21
At
30.11.22
Unre8trlctsd fund
G￿erat furKI
81.588
(27,953)
53,633
TOTAL FUNOS
81.588
127,953)
53,633
Comparabve nel in fvrhls. *thd•d in the alkn am as fdlm."
RestrJrce8
reawrca$ exk￿de￿
Movemèrrt
In funds
Unr••trict•d fundB
General fut)d
284.371
1292,324)
127,953)
TOTAL FUNDS
264.371
(292.3241
{27,9531
A cuffenl year 12 months arvj prior year 12 po*tiM 18 •s fdlm..
Net
moveme
in fvnds
At
30.11.23
1.12.21
Unr••trl¢t•d fvnd•
General fvnd
81,588
{eJ).1581
21.428
TOTAL FUNDS
81.586
IPJJ,158)
21,428
A Current year 12 months and wior 12 months 0)M￿ed m0ven￿ rn funds. induded in th8 above are
s follows..
In(x)ming
sources
Resources
Movement
In fvnds
Unrestricted fundB
General fund
674.191
IT34.349)
(80.158)
TOTAL FUNDS
674.191
1734.349}
{60,158)
Page 8
continuod...

NOTES TO THE FINANCIAL STATEMENT
FOR THE YEAR ENDED 30 N
RELATED PARTY DISCLOSURES
There were no related party tranSactiOr￿ forthe year ended 30 November 2023.
- COntin￿d
Page 9

NGS OF HEAUPIG
DEfAILED STATEMEKf OF FINANCIAL ACTivrriES
FOR THE YEAR ENDE
30 NOVEMBER 2
30.11.23
30.11.22
INCOME AND ENt)OWMENTS
Donations and1ggacle8
Oonations
380,271
29,549
241.803
22,568
409.820
Total Incamlng ¥Bwurc
264,371
409,820
264,371
EXPENDITURE
ChaMtsbl• a¢tlvltl••
Travel Costs
MedirAI supplies & equip¥nent
Grants lo institutions
2,734
517
438,624
13.876
974
277,486
441,875
support ¢08ts
292.136
Govomance co¥t•
Computer equipment
Total re80urc88 expendod
Not •xp•ndltur•
150
188
442,025
292,324
132.2051
127,9531
Pa9e 10