## **ARTEMEDIS INTERNATIONAL** 

Report of the Trustees for the year ended 01/04/2022 

## **STRUCTURE, GOVERNANCE AND MANAGEMENT** 

## **Governing document** 

The charity is controlled by its governing document, a deed of trust and contributes an unincorporated charity. 

ARTEMEDIS INTERNATIONAL is the charitable trust registered with the charities commission on 29[th] July 2014 under charity registration number 1158039. It is governed by a deed of trusted dated 29[th] July 2014. 

## **Organizational Structure** 

The board of trustees oversee the running of the charity on a day to day basis. All operational decisions are made at board meetings which are held frequently throughout the year. The trustees of the charity do not receive any remuneration or financial benefit for their services. 

Approved by the order of the board of trustees on 30 JANUARY 2022 and signed on its behalf by: 

## **Dr. Sinan Khaddaj  - Trustee** 




## **ARTEMEDIS INTERNATIONAL** 

## **Balance Sheet As at 01.04.2022** 

## **01.04.2022 01.04.2021** 

|**CURRENTS ASSETS**|||
|---|---|---|
|Debtors|-|-|
|Cash & bank|40,108|37,650|
|**CREDITORS**|||
|Amounts falling due within one year|5,673|1,940|
|**NET CURRENT ASSETS**|5,673|1,940|
|**TOTAL ASSETS LESS CURRENT**|**LIABILITIES**||
|**NET ASSEST**|34,435|35,710|
|**FUNDS**|||
|General Funds|34,435|35,710|
|**TOTAL FUNDS**|34,435|35,710|



There are no restricted funds. 

The financial statements were approved by the Board of Trustees and authorized for issue on 30 January 2023 and were signed on its behalf by : 

## **Dr. S . Khaddaj  - Trustee** 




REGISTERED CHARITh NUMBER 1158039
REPORT OF THE TRUStEES ANO
FINANCIAL STATEMENT FOR THE YEAR ENDED 0110412022
FOR
ARTEMEDES INTERNATIONAL

ARTEMDIS INTERNATIONAL
Conténts of the Financial Statement
for the Year Ended 0110412022
Pa8e
Reference and Admlnlstratlve Detslls
Report of the Trustees
2to3
Independent Examlnerfs Report
Statement of Flnanclal Activltles
Balance Sheet
Notes to the Financial Statements
7t012
Detalled Statement of Flnanclal Actlvltles
13to14

ARTEMEDIS INTERNATIONAL
Refefftnce and Administrative Detai
for the Year Ended 0110412022
TRUSTEES
DE6011AH ELIZABETH SAYERS
DR SINAN KHADDAJ
DR ALISAN WRINGE
REGISTEREEO CHARITY NUMBER
1158039
INDEPENDENT EXAMINER
005AN15
513 LONDON ROAO
CHEAM
SM3 8JA

ARTEMEDIS INTERNATIONAL
Report of the Trustees
forthe Yeai Ended OLI0412022
The trustees present the repirt wirh the finan£lal statemeni of the charlty fort theyear ended 0tr0412021. The trustee5 have
adopted the provisions of AccountlTr83nd Reporting by Charities." Statement af Aecommended Practice appllcable to charitie5
preparlngthelr accounts In accordance with the Financial RepornnRStandard applicable In the UK and Republic of Ireland IFRS
1021 lelfectlve L January 20151.
OBIECMVES AND AcTIv￿lEs
Obletth￿1ttd •lms
The oblertlves of the charlt¥as set out In Its iovernln8 document are as Idlows.
The preservaiions ènd protection of iood health of women chlldren Is deyeloplni countrles In particular but ttot
excluslvely by Improvln8 access to and uo8ke of essentkl health ènd sodal se￿CeS.
To provSde educat4on and tralnlng.
To provlde aSd to those affecttd by famlne.
To provide asslsiance to those with d5s3￿lItIe&
The trusrees revSew the alms and oblectlves to ensure that the¥are In Ilne wlth the publlc beneflt of the communlty.ln
conductlni ihls le￿Qw, thetiusteE& h&¥e £Dn51dpred charfiycummlsslon's uenoial iuldJnce on publlc beThEflt.
SIGNIFICIPIT AcTIv￿les
The chèrSty provlded financlal asslstance to p￿51trIC Cère Lebanon & M4terhal Heèlih Sene6al.
ACHIEVEMENTSAND PERFORMANCE
ch4rthab￿ l¢tlthlqs
Throu8haut the Centre to Ichleve Its oblertlve and theTrustees are5atlsfled wlth the overall performance of the charlty.

ARTEMED15 INTERNATIONAL
Report of the Trustees
for the year ended 0110412022
srRucfuRE, GOVERNANCE AND MANAGEMENT
Governlng document
The charlty is controlled by its governing document, a deed of trust and contrlbutes an unincorporated
charity.
ARTEMEDIS INTERNATIONAL Is the charltable trust re815tered wlth the charltles commlsslon on 29, July
2014 under charlty re8lstratlon number 1158039. It Is 8overned by a deed of trusted dated 29, Julv
2014.
Ori•nk•tlon•l Structur•
The board of trustees oversee the runnlng of the charity on a day to day ba515. All operatlonal declslons
are made at board meetlngs whSch are held frequently throughout the year. The trustees of the charltv
do not receive any remuneration or flnanclal benefit for their sèrvlces.
Approved by the order of the board of trustees on 30 JANUARY 2022 3nd 518ned on Its behalf bv:
Dr. Slnan KhaddaJ - Trustee

ARTEMEDIS IiYfERNATIONAL
Balance Sheet
As at 01.04.2022
01.114.2022 01.04.2021
CURRENTS ASSETS
Debtors
Cash & bank
40,IOA
37,650
CREDITORS
Amuunts falling due wiihin one year
5.673
1,940
NET CURRENT ASSETS
5,673
,940
TOTAL ASSETS LESS CURRENT LIABtI,TfIE
NET ASSEST
35.71n
FUNDS
Generul Funds.
35.710
TOTAL FUNDS
35,7111
There are nl) resiriLled fund%.
The financial stal¢ment$ were appr()ved by (he Buard ufTrust¢&% And
uihoriztd f()r i.ssue 30 January 2023 and were &i8ncd un lis behalf by .
Dr. S . Khaddaj - Trustee

Independent Examlner's Report to the Trustees of
ARTEMEOIS INTERNATIONAL
Independent examlnerf$ report to the trustees of ARETMEDIS INTERNATIONAL
I report to the Charlty trustees on my examinations of the accounts of ARTEMEDIS INTERNATIONAL (THE
TRUSTI for the year ended 0110412021.
Responslbllltles and basls ol report
As a charity trustee5 If the trust you are ￿spOnSIble for the preparatlon of the accounts In accordance
with the reqlslrement of the charitles Act 20111.the ACT'I.
I report in respect of my examinatlon5 of the Trust's account tarrled out undersectlon 145 of the Act and
In carrylng out my examinations I have followed all applicable Directions 8lven by the Charity
Commi55ion under sectlon 145151 Ibl of the Acr.
l. A¢¢ountlng records were not kept in respect of the trust as requlred by sectlon 130 of the ACT,,
or
2. The accountlng do nog accord wlth those records,. or
3. The account5 do not comply wilh the applicable requlrements ¢oncernlnB the form and content
of accovnts Set out In charitle51 Account and Report51 Regulations 2(108 other than any
requlrements that the accounts give a true and fair vlew which Is not a matter considered as
part of an Indepèndent examlnatlons.
INDEPENDENT EXAMINER'S STATEMENT
I have complete my examinatlon. I conflmi that no Tnaterlal matters have come to my attentlon In
connection with the examlnation gsvlng me cause to believe that In any material respect.
I have no concern and have come a¢ross no other matters In connectSon wSth the examinatlort to whlch
attentlon should be drawn in thls report In order to enable a proper understanding of the accounts to be
reached.
AZEEM DOSANI F.C.C.A
DOSANIS ACCOUNTANT
513 LONDON ROAD
CHEAM
SM3 8JR

ARTFMEDI.S INTERNATIQNAI.
Not￿ to the FinsncTral Statements
F￿r tht Ye8r Ended 01.04.2022
I. ACCOUNTING POLICIES
B￿lt of preparing the ststements
The financial.$latemeni Df Ihc Lharity, which is a public bcncfjl entiiy undcr FRS 102.
havt been prcparcd in HCLI)Tdittg with Ihe charitic% SORP IFRS 102) Accuunling and
Rcpnrlin8 by th￿1(7￿8., sta￿m￿nI of Recixnmtnded PraLtice applicablc tD charilics
prcp4riTLg IheiT acctsuni% in ècrvrdJnrc wilh Iht Fintsthcial Rewrting Sidndard
applicable in thc IJK and Rcpublic ￿ Ircldnd IFRS 102lltffttlive l Jan 20151.
Findnci#I Reportirtg Stsndard IU2' Thc Financial Rew)Tting.qtandard dppli¢abl¢
in the Uk ¥nd Rebulic of Ireland and Ilie ChJriiie% ALI 2UI l. The financial 51alctncnt%
have been prepared under the hi8ioricil cosi Ltsnvtniicin.
All in¢()mr is r¢¢v8niKJ in Ihc Sial¢rD¢nl (If Fin4n¢ial A¢uvsii¢S only lh¢ Lhariiy
cniiilcmcnl lo Ih fund$, ii is prdjablc ihai Ihc iDLQTDe will br r¢Gciv¢d.
Ihe amouni can bc mcasurcd reliably.
Expendlture
LiabilitL% fcL(18niNcd ax Cx￿nditI1rC X(M)n there IA i le8*1 or
conslruclive ithli¥#lii)tJ% L'()minitEing thc Lhdrily t(} Ihdl ¢xp¢ndiiure. il IS
prubablc Ihal a transfer ot'¢conomic bcnetii¥ will bc rcquircd in seiilemeni
dnd Ihc arnouni of Ihc abligaiion caTh bc rncasurcd Telidhly. ￿xPe11dlL￿Tt i$
LCI)untcd for on an aLcurals b&si% und haB been clas5ilied under
hclldinss ihai ag8rega* all C￿$( relaied 10 the Lategory. WtLeTe li￿1%
nn(A be dirccily Aitributed pariLLular heading%, Ihey hdve been
all￿￿1¢￿ 10 Aciivilic¥ a ba&is LthlAi%t¢ni with Ihe ol'res￿r¥¢8.
T8Trglbk 8sÉets
DLpreciuiiun i¥ provided ui the lollowin¥ dnnual ruiL5 in ordLT ILI
WtilL r>lf each ￿￿et over it& tsiimdied u&el'ul lit'e.
FixturLS dnd filtin8S
Compuler Cquiptnenl
254 on reduLln8 b8lan¢e
254 on LiKS1.

Taxatinn
The charity is exempi from tax on aCC￿nI of its charitAblc aaivilicl
UnresTri¢tcd funds he u￿1 in ac¢(*dan¢c wilh the charifable
objeciive$ a¢ thc di8creiifbn of Ihe tru%tces. Reslrictd fundE ¢8n
only be usa for porticular restricted PUTtXKSG4 within thc objeclN
of the charity. Re%triciiott% arise when Specified by Ihe don()T or
wh¢n funds 4re ruised for p4rticulAr rehlriLted Purp￿￿￿.
FuTth¢T ¢xplunotivn vl thc natu￿ and putpuK vf ¢a¢h fund is
Includcd in thc nolcs to thc financial staleTheTLi¥.
Ponslon e¢Kst8 2nd other pryat- retlrejneni benefits
ThL Lharity operulL¥ & dLfinL'd Li?nlrihuiii)n pension scheme.
Conlribulivn payllblc lo the charity's pcn4iorb &¥hem¢ are
Lhllrged to Ihc SthiemenL (jr Financial Aciivi(cs in thc I￿n{￿j
10 whiLh Ihey relate.
2. TRUl•TEL+•' REMUNERATION AND BENEFITS
There w¢r¢ fruslccs, rcTfiuDcTa(ion {￿h¢y benefii for ¢h¢
ycor cndcd 01.(J4.2()22 n(Ir for Ihe ycar cndcd 01.04.2021.
Try¥t¢¢s' exp¢n¥¢8
Therc wLrc nii InJliicc%' expenses paid f()r IhL yLur cDded
115.1)4.2U22 fix (he yearended 111.()4.2021.

3. STAFF COSTS
There were no stalTcost during the period under review.
4. COMPARATIVES FOR THE STATEMENT OF FINANCIAL AcrivrriES
2022
2021
INCOME FROM
DonatiOTL% and Humanitarian Assist
Fistula FoundatlOD
2,567
EXPEIYDITURE ON
Charitable a¢livit¢8
Bank Gharges
2,533
108
74.00
74.00
GOVbRNANCE COSTS
Accounthny & ta¥al F¢¢
1,200
Nei Income
(1,2751
174.QO)
Tothl ￿ndS carried fon¥ard
74.00
5. TANGIBLE FIXED ASSETS
There are no tan8ible fixed &￿ets in the period under review.
6. DEBTOKS
There are no debtors in the pttiod under review.
7. CREDITORS AMOUNT FALLING DUE WITHIN ONE YEAR
01.04.2022
01.04.2021
Trade creditors

8. MOVEMENTS IN FUNDS
Net
vement
In funds I11￿￿j22
111.04.21121
FumdN
36.284
1574)
35.710
Nei movemeni in fvnd5. includ¢d in the aFA)ve are as follow..
ItKomin8
r¢suurtts
Resource8
¥xpend¢d
Movement in fiuJd$
Unresirici¢d fvnds
2,567
3,841
.1.275
A eurrcni yeor 12 n￿th$ And pric* yeAr
12 n￿nthS ¢ombined positlol 18 ¥ follows:
In¢oming
rcM>uTCCS
Rewurc
expcndcd
Mov¢m¢ni in funds
Tot&1 funth
2J67
4.415
-1,849
9. RELATED PARTY DISCLIXSURES
There were no relA￿d p&rty traDSaclion for the year ended 01.04.2022.

ARTEMEDIS INTERNATIONAL
S¢atemen¢ Of Flnanclal A¢livities
For the Year Ended 01.042022
01.04.2022 01.04.2021
Notes
]NCOME FROM
Donations dnd Hu[n￿1(arian Assist
Fistula Foundation
Total Income ResouwGs
2,566.53
2.566.53
EXPENDITURE ON
Charit2ble Aetivites
Ch¢irirbale Causes
Bunk Charg¢s
Accountancy & Legal Fees
2,533.26
108.0
1,20D.00
74
500
Total
3,841
574
Net Incomel {Expenditurel
(1,275)
(574)
RECONCILIATION OF FUNDS
Total funds Bwught f(rnvard
35.710
36.284
Total Fund% c￿le￿ FL)rward
34,435

ARTEMEDIS INTERNA TIONAL
Detailed Statement of Financial Actlvities
For the YeAY Ended 01.11&2022
01.04.21122
01.IM.2021
Income From Endowment
Donaiions and Humaniiarian As?siSt
Fistula Foundation
Toial In¢om¢ R¢sourc¢s
2,567
2,567
Expenditure on
Charitable Aciivtties
2,533
Flnance
BAnk Ch8Jga8
108
74
Governance Costs
Accuunlancy and Le¥al Fee
Tutul Ret>uurccb Expended
1.21))
5(N)
3,841
574
Net EX￿ndIture1 Incon
-1275
.574