Charlty Number 1155319
Professional Relief Organisation
Trustees Report &
Unaudited Financial Statements
For the year ended 28 February 2025

Professional Relief Organlsation
Contents Page
For the year ended 28 February 2025
Report of the Trustees
3to4
Independent Examiner's Report to the Trustees
Statement of Financial Activities
Statement of Financial Position
Notes to the Financial Statements
8t009

Professional Rellef Organlsation
Report of the Trustees
For the year ended 28 February 2025
The Trustees have pleasure in presenting their report & the financial statements for the charity for the
year ended 28 February 2025.The Trustees have adopted the provisions of Accounting & Reporting by
Charities:
Statement of recommended practice applicable to charities preparing their accounts In accordane with
the Financial Reporting Standards applicable in the UK & Republic of Ireland(FRS102)effective
01/0112015.
Objertives & artlvitles:
The rel*f of povety and the advancement of health and the saving of lives In particular but not exdusively among
Mernb￿s of the s￿Jth Aslan crnimunty in England and Pakistan by some or all of the following means:
l. Promoting nurslng and mldwifery as careers
2. Supporting educational and tralning initlatives and programmes in particular those entering the
medical profession
3. Promoting better cooperation and understanding between those in the medical profession
4. Family planning and welfare programmes in particular but not Ilmlted to providing better support for
women
5. Running antl-drug and anti-cigarette programmes and providing support to those with addictions in
6. Support for thildren and young people and aged people with a charitable need (includlng building
7. Working with other agencles and organisations in furtherlng the objects of the charity.
Achievements & Performance
Awareness raising campaign by organizing conference, Seminar, Workshops, Rallies, Counselling &
Issuing Publication, Literature & Guideline for Thalassemia and other Blood disorders among Asians.
Provide the Free Ambulance Services (Since 2010) serving poor community day & night, we have
transported many Pregnant Women, Chlldren, Elder Patients to the distrlct hospltal & due to rapld
transfer of deteriorating patients we have save many INes & stfjll that work Is ongoing.
Thalassaemla & Hepatitis A,B,C & E awareness program which are main target in rural areas. Free test
for Hemoglobin Electrophoresls for Thalassemia patients from ABMT & KITCC (PRO slster organisations).
Fllter water plant: Covering entire village and 2 primary schools. (Recently build, January 2016)
PRO team also distributed aoths Shoes & Other Edible Thlngs for poor community.

PRO welcome doctors and nurses from abroad speclally from Paklstan and help them for placement and
make sure they return to Paklstan at the end of placement and share their knowledge and experience of
UK with Pakistani colleagues.
PRO provide free Hand Pumps in rural & affected areas.
Referral & Treatment of HEP C, Cancer patients who cannot afford treatment.
Free education facllities for street children to make them valuable member of the society.
Financial Review:
The results for the financial year as glven In statement of financial actlvities, are considered satisfactory
by the Trustees
Structure,Governance & Management:
Governing Document
The trustees have examined the strategic, business and operational rlsks the charlty faces & confirm the
system have been established to enable regular reports to be produced to lessen the risks.
REFERENCE & ADMINSTRATIVE INFORMATION
ie of Charity:
Professional Rellef Organisation
Charity Registration No 1155319
Princlpal Address: 36 Stonard Road
Dagenham
. RM8 2HS
Trustees: The Trustees serving during the year were as follows
Muhammad Asghar
Zeba Arif
Moeen Anwer
Riaz Ahmed Bhatti
Independent Examiners: Pyramid Point Limited
118 Pall Mall
London
SWIY SEA
Approved by the Board of Trustees & signed on its behalf
18/09/2025

Professional Relief Organisation
Independent Examiners Report to the Trustees
For the year ended 28 February 2025
I report to the Trustees on my examination of the accounts of the charity for the year ended 28
February 2025
Responsibilitles & basis of report
As the charity trustees, you are responsible for the preparation of the accounts in accordance
with the requirements of the Charities Act 2011("the 2011 act")
I report in respect of my examlnation of the charity's accounts carried out under sectlon 14S of
the 2011 act and in carrying out my examination I have followed all the appllcable Directlons
given by the Charity Commission under section 145(5)(b) of the Act.
Independent Exarniners Statement
I have completed my examination.1 confirm that no matters have come to my attention In
connection with the examination giving me cause to belleve that In any material respect.
l.accounting records were not kept in repect of the Charity as required by section 130 of the
2011 Act; or
2.the accounts do not accord with those records; or
of accounts set out in the Charitles(Accounts and Reports) Regulations 2008 other then any
requirement that the accounts give a true and fair view whlch Is not a matter consldered as part
of an Independent examlnation.
I have no concerns and have come across no other matters In connection wlth the examlnatlon
to which attentlon should be drawn In this report in order to enable a proper understandlng of .
the accounts to be reached..
1810912025
Rubina Anjum
MBA ACMA/CGMA
Pyramld Point Llmited .
118 Pall Mall
London
SWIY SEA

PROFESSIONAL REUEF ORGANISATION
STATEMENT OF FINANaAL ACTIVITIES
FOR THE YEAR ENDED 28 February 2025
Note
Unrestrlrted
Restrfcted
2025
Total
2024
Total
INCOMING RESOURCES
Incomlng resources from generated fvnds
Don3tlGns and leEaaes
Investment Income
50,212
12,000
50,212
12,000
331384
Total Incomln£ resources
62,212
62,212
331384
RESOURCES EXPENDED
Costs Incurred on Projerts
Support costs
Other Direct cost
Governance Cost
71,734
71.734
150,848
1,080
1,080
Total resources expended
72,814
72,814
151,748
NEf INCOMING/{OUTGOING) RESOURCES
(10,602)
(10,602)
179.636
RECONCIUATION OF FUNDS
Total funds brought forward
Accruals
TOTAL FUNDS CARRIED FORWARD
195,859
195,859
16.223
185,257
185.257
195.859
The notes form part of these flnanaal statements

PROFESSIONAL RELIEF ORGANISATION
BALANCE SHEET
AS AT 28 February 2025
2025
2024
Note
FIXED ASSETS
Tangible fixed assets
Less:Depreciation
8,400
2,100
10,soo
2,100
8,400
6,300
INVESTMENT
Investment in Assets
175,000
175,000
175,000
CURRENT ASSETS
Debtors
Cash at bank and in hand
5,038
13,359
5,038
13,359
LIABIUTIES
Creditors: amounts falling due within one year
1,080
900
NEf CURRENT ASSErs
3,958
12,459
.TOTAL ASSEfs LESS CURRENT LIABILITIES
185,258
195,859
NEf ASSErs
185,258
195,859
FUNDS
Unrestricted funds
General funds
189,258
195,859
Restricted funds
TOTAL FUNDS
185,258
195,859
For the year ending 28102/2025 the company was entitled to exemptlon under sectlon 477 of the Companles Act
2006 relating to small companies.
The members have not required the company to obtain an audlt In accordance with sectlon 476 of the Companies
Act 2006.
The Trustees acknowledge their responsibilities for complylng with the requirements of the Act with respect to
accounting records and the preparation of accounts.
These accounts have been prepared In accordance with the provlslons appllcable to companles subject to the small
companies regime.
Approiied
the Board of Trustees and slgned on thelr behalf by
Muhammad Asghar (Chairperson)
Trustee
Page 07

PROFESSIONAL RELIEF ORGANISATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 February 2025
Unrestrlcted
Restrlcted
2025
Total
2024
Total
INCOMING RESOURCES
Incomlng resources from generated funds
Voluntary Income,
Donations Received
Gift Aid
Investment Income
50,212
50,212
320,384
12,000
62,212
12,000
62,212
11,000
331,384
Total Incoming resources
62,212
62,212
331,384
RESOURCES EXPENDED
Support costs
Advertising Posters
Health Projett cost
Service/Lease Charges
Travelling expense
Storage Cost
Printing,Postage & Stationery
Depreciation
Insurance
Bank Charges
61,321
3,533
1,429
1,200
592
2,100
1,387
.172
71,734
61,321
3,533
1,429
1,200
592
2,100
1,387
172
71,734
136,892
7,836
1,039
1,764
2,100
992
225
150,848
Govérnance costs
Accountancy and Independent examiner fee
1,080
1,080
1,080
1,080
900
900
Total resources expended
72,814
72,814
151,748

PROFESSIONAL RELIEF ORGANISATION
NOTES TO THE FINANCIAL STATEMENTS
FOR THE YEAR ENDED 28 Februa .
2025
S. CREDITORS: AMOUNTS FALLING DUE WITHIN ONE YEAR
2025
2024
Accruals
1,080
1,080
.900
900
6. MOVEMENT IN FUNDS
At the start
of the year
Incomlng Outgoing
resources
resources
At the end
of the year
Transfers
Unrestrlrted funds:
General fund
Accrual Adjustment
195,859
62,212 { 72,814)
185,257
Total unrestrirted funds
195.859
62,212
(72,814)
185,257
Restricted funds:
Income from events
Income from Fundraising
Total restricted funds
TOTAL FUNDS
195,859
62,212
(72,814)
185,257
7 TANGIBLE FIXED ASSETS AND DEPRECIATION
Tangible assets are included at cost less depreciation and impairment.Depreciation is charged @20Q/
Straight Line Basis on the useful life of the asset.
Motor Vehicle
10,500
Opening balance 01 March 2024
Addition during the year
Closing Balance 28 February 2025
10,500
Depreciation Opening 01 March 2024
Charge for the year @20%
Closing Balance 28 February 2025
Net book value of vehlcle at 2810212025
2,100
2,100
4,200
6,300
8 INVESTMENT
The Flat gifted to PRO charity @ the current value of £175,000. The flat Is considered as Investment
and will generate renal Income for the charlty.The address of flat Is:
Flat 47,Wiltshire Court,54A Pittman Gardens,Ilford, IGI 2QE