REGisfERED CHARITY NUMBER: 11641174
Trustee5
Unaudited Fln
neial StAtem
for the Y
edJiDe
er 2023
for
ren's Chari
Derek Young & Co A¢¢ountants LLP
Chartered Acwynttynts
Estate House
Evesham Street
Reddit¢h
Worcestershire
B97 4HP

Am8ni
hgri
Contents of the Fln8nel#l Ststemen
eAr ended 31 Decem
er 2023
Page
Report ofthe Trustee
1 tt> 3
Independent Examlner's Rqiort
ststemen¢ of FiRanciAI Actfvltie5
Balanee Sheet
Note$ to the Fingneial Ststememts
7 to 10
Detailed Stat¢merbt of Fingnclal Activitl

iA150n
hildr
rt of th Tntsiee5
ear ended 31 December 2
for
The trustees present their report with the financial statements of the ¢harity for the year ended 31 December 2023. The trystees have
adopted the provisions of Accounting and Reporting by Charities.. Statement of R￿0MMended Pra¢ti¢e applicable tri ¢haritie5
preparing their aec¢)UDts in accordance with the Ftnancial Reporting Standard appli¢able in the UK and Republic of Ireland (FRS 1021
(effective l January 2019).
The trustces have Cotnplied with the dtsty in section 17 of the 2011 Charities Act to have ￿gard to guidance published by the Charity
Commission.
OWECTJVES AND AcfivxTIES
Objectives And aim$
The main objectives of the Liaison Amoni Children's Charity as stated rn our 8overning document are-
l. The relief of marginalLSed and vulrterable youth ill Tanzania particularly street childr¢n, through financi￿ and other support for the
provision of care and protection and support in th¢ir rehabilitation into family or community life.
2. The advancement of education for marginalised and vulnerable youth itt Tanzania through fin#n¢ial support for th¢ir education or
vocational training and the raising of the awarenes5 of the public in th¢ UK ofthe situation of street children in Tanzania.
3. The Prevention and relief of poverty amongst families and communktie5 in Tanzania through the prOte￿10n and rehabilitation of
vulnerable youth in that county.
Public benellt
The trustees have considered th¢ Charity Commission's guidance on publi¢ beneflt.
ACHIEVEMEIYT AND PERFORMANCE
Chgrltable fictivltie5
During the period we continued with our SPEcific long ternj project.. raising funds to ¢stablish and rwi a satellite c¢ntre in Singidi in
¢onnection with The Arnani Children's Charity of Tanzania.
In July 2016, with our help, The Amani Children's Charity was able to open a brand new centre and has continued to welcome
childr¢n in with open arms ever $in¢e.
Fundrai$lng activi¢les
During the current financial year there hav¢ been num¢TOUS fundraising activities.
Our main ￿ndraISer w&$ the Ltsndon to Paris Cycle Challeng¢ which rdised funds totalling £26,197 during the period.
Another significant fundrniser was the Liaison CorJy)rate Day which raised fvtjds totslling £6.915 during thc period.
FINANCIAL REVIEW
Principal funding sources
The principal funding sour¢e in the year w&% income from voluntary donation5 at 62U/o with income from fundTaising ev¢nts
representing 37% and in¢ome from investsnents repres¢ntin8 the remaining ID/0 of total iTh¢ome.
Reservu policy
The tnJstee5 have reviewed the ¢hartty's n¢¢ds for reserves in accordance with the guidance issu¢d by the Charity Commission.
Due to the nature of our activities & the fact that w¢ have very little expenditsr4 it is not wnsidered necessary to keep a specifi¢
resetve to cover expenses.
Our reserves currently stand at £31,362. We expect further grants to be made in due Course.
The results for the y¢ar show a surplus of £10,000.
The expenditure for the period w&s £751 in relation to support ¢osts and further grant monies totalling £56,000 being sent to The
Amani Childr¢n's Home ¢harity.
No expenses or remun¢ration was paid to any of the tnJstee5.
Page I

Ten's Chari
rt of the Truste
eAr ended 31 Dec
for the
er
23
FufuRE PLANS
The main fi]nd raising activity in the 2024 fJnan¢ial year wa5 the London to Amsterdam Cyele & Walk Challenge in June. followed
by our Liai50n cO￿)0rate Day. which is taking place in November.
STRUCTURE, GOVERNAf4CE AND MANAGEMENT
Governing document
The governing document is the Liai50n Amani Children's Charity Constitution adopted on 21 August 2015 which became T￿ognised
by the Charity Commission when the Charitable lnc0tyora￿d Organisation was re8jSt¢r¢d on 22 October 2015.
Recrnitment ind fippointment of new trn5tee5
New truste¢s must be appointed by a resolution passed at a properly convened meeting of the charity trustee5.
At present the trustee5 do not currentiy anticipate the ne¢d to aprK)int any new trustees. The existing trustees possess all the ski115 and
experienc¢ required to nln the tharity at this stage in its development. Should further ski115 be required in the futur¢ then the need for
additional trnsiees will be Teviewed.
OrgAni$9tional structure
The trustees meet bi-monthly ttTr consider the business of the charity. In addition to this. there 15 monthly telephone and email
communication betw¢en the tru5te¢s regarding day to day operational matt¢r&
IThduction and training of new trnstees
All Trustees work wiihin the Liaison Group of cotnpanies, and as sucb they are aware of the ¢harity and th¢ demands prior to
applying. Once accepted th¢ new truste¢s are then invit¢d to attend th¢ir firsi board meeting wh¢re they ore fornially appointed to the
board.
REFERENCE AND ADMINIsfRATIVE DETAILS
Registered Charity number
1164074
Registered orrjee
The Mark¢1 House
61 High Street
Trin8
Htry3 4AB
Trustees
BJThew
R A Nichols
I C Jordan
A S Armitage
H A Osborne (resigned 24.1.23)
E J Herdman {resign¢d 7.11.23)
N Cowling (resigned 24.1.23)
M Dickson (appointed 3.1.24)
H L Rich4n(son (appointed 3.1.24)
Independent Ex%miner
Derek Young & Co AGGountaThts LLP
Chartered Accountants
Estate House
Evesham Str¢ei
Redditch
Worcestershire
B97 4HP
Page 2

n's ChAri
rt of the Tru
ear ended 31 Detember 202J
for the
REFERENCE AND ADMINISTRATIVE DETAILS
Bankers
Clydesdale Bank PLC
136- 138 New Stre¢t
Birmingha
B2 4QJ
Approved by order of the bjard of trustees on 30 July 2024 and sign¢d on its behalf by..
A S Arniitage- Truste¢
Page 3

nden
Examiner s Re
rttotheTr
Liaison Amani Children's Charit
of
I report on th¢ accounts for the period ended 31 December 2023, which are set out on pages five to ten.
Ruponslbllltles And b4s5s of report
As th¢ charity's trustees you are r¢sFM)nsible for th¢ preparation of the a¢￿Unts in a￿ordance with the requirements of the Charitie5
Act2011.
Having satj5fied myself that the charity is not subject to audit and is eligible for independ¢nt examination, I have examined your
charity's accounts as required under Section 145 of the Charities Act 2011 I'the Act?. In ¢8rrying out my ¢xamination J have
followed the Directions gzv¢n by the Charity Commis5ioTh under section 145151(b) of th¢ 2011 Act.
My role is to state whether any material matters have wme to my attention giving m¢ Cause to believe:
accounting record5 w¢re rtot kept as required by section 130 of the Charities Act 2011. or
that th¢ a¢￿Ullts do not a¢¢ord with those r￿OrdS. or
that th¢ accounts do not comply with the methods and principles of the Charitie5 Statement of Rccomm¢nded Practice
applicable to charities preparing their accgunts in accordat)c¢ with the Financial Reporting Standard applicable in the UK
and Republic of Ireland. or
that there is further information needed for a proper understanding of the accounts.
IndepeDd¢nt exxminer's ststtment
I have completed my examination and have no concerns in r¢spe¢t of the matters (l) to (41 listed aEove and. in connection with
following the Directions of the Charity Co]nmi5sion I have found no matters that require drawing to your attention.
Steph¢D
Derek Young & Co
ccountants LLP
Chartered Accountants
Estate Hous¢
Evesham Str¢et
R¢dditch
Worcestershire
B97 4HP
Datc-. 30 July 2024
Page 4

on ArnAni
hildren's Chgrl
tAtement r Financial Attivities
for the
ar ended 31 December 202
2023
Unrestrided
fund
2022
Total
funds
Notes
INCOME FROM
Donations and legaci¢s
41,198
36,231
Activities for generating fund5
Investm¢r>t income
24.650
903
12,785
86
Total
EXPENDITURE ON
Chxritgble acttvities
RaLSLng fijnds to run a satellite ¢entre in Singida
A¢tivitie5 for generatin8 funds
56,IKIO
751
32,500
496
To¢91
NET If4coME
10,000
16,106
RECONCILIATION OF FUNDS
To&il fund5 brought forward
21,362
5,256
TOTAL FUNDS CARRIED FORWARD
Th¢ notes fonn part of thes¢ financia] 5ta¢¢ments
Page 5

iison Amani
hildren's Ch#r
alince Shee
31 Decern
r202
2023
Unrestricted
fund
2022
Total
funds
Notes
CURRENT ASSETS
C&%h at ba]]k and in hand
31.362
21,362
NET CURRENT ASSETS
TOTAL ASSETS LESS CURRENT LIABILrriES
31.362
21.362
NET ASSETS
FUNDS
Unrestricted funds
TOTAL FUNDS
The financial statetnents were approved by the Boord of Trust¢¢s and authorised for issue on 30 July 2024 and were signed on its
behalf by..
A S Amiitsg¢- Trustee
The note5 forni part of these financial statements
Page 6

knison Am
' Children's
N t $ to the FinAntt
I Stiternents
for
he
ear end
31 December 2
ACCOUNTIP4G POLICIES
Accovnting conventlon
The financial statettlents have been prepared under the historical cost convention, and in ac¢ordan¢e with the Staiement of
Recommended Practice.. AeL￿unt1￿g &nd Reporting by Charities preparing their accounts in accordance with the Financial
Reporting Standard applieable in the United Kingdom and Republic of Ir¢land IFRS 102) and The Charities Act 2011.
Incoming resources
All incoming resources are included ¢)n the Statem¢nt of Financial A¢tivities OTh a weipts basis.
Resources expended
Expenditur¢ is accounted for on a payments basis and h&$ been clas5ifi¢d under headings thai aggregate all cost rclated to the
category. WheTe costs ¢annot be directly attributed to particular headings they have been allocat¢d to activities on a b&sis
con515tent wilh the use of resources.
GrdThts offered subject to conditions which have not been met at the year end date are noted as a cotnmitmen¢ but not accrued
as expendttiJr¢.
Taxition
The charity is ¢x¢mpt from corp)ration tsx on its ¢haritable ￿tiVItI¢$.
Fund Accounting
Unr¢strict¢d funds can b¢ used in accordance with the charitable objective$ 81 the discretion of the trustees.
DONATJONS AND LEGACILS
2023
2022
Donations
Gift aid
38.374
35.698
533
ACTIVITIES FOR GENERATING FUNDS
2023
2022
Fundraising events
INVESTMETrrf INCOME
2023
2022
Deposit &ccount interest
903
86
Page 7
continued...

Ll4l$on AmAni
hlldren'5 Ch
es to the Fin
ei81 Statements- continued
for the
eir ended 31 De¢ember 2023
GRANTS PA YABLE
2023
2022
Raising funds to run a satellite ¢entre in Singida
The totsl grants paid to institutions durin8 the Y￿ar was as follows:
2023
2022
The Amani Children's Charity of Tanzania
SUPPORT COSTS
Management
Finance
Totais
Activities for generating funds
386
365
751
TRUSTEES, REMUNERATION AND BENEFITS
There were no trustees, remuneration or other benefits for the year ended 31 December2023 nor for the year end¢d
31 December 2022.
Trnstees. expens¢s
Ther¢ were no trustees, expenses paid fortheyear ended 31 D¢￿mber 2023 nor forthe year ended 31 Dec¢mber 2022.
COMPARATIVES FOR THE sfATEMENT OF FINANCIAL ACTIVITIES
Unrestricted
nd
INCOME FROM
Donations and legacies
36.231
Activities foi generating funds
Investment income
12.785
86
Total
EXPENDITURE ON
Charitable ictivities
R￿sing funds to run a satellite centre in Singida
Activities for g￿trating funds
32,500
496
Total
NET INCOME
16,106
RECONCILIATION OF FUNDS
Total fund5 brought forward
5.256
TOTAL FUNDS CARRIED FORWARD
Page 8
continued..

Liai50n
#ni ChRldren'
Chiri
Note
the FinAnciAI
eAr en
ement5- tontin
31 December 2
MOVEMENT IIY FUNDS
N¢t
movem¢nt
in funds
At
31.12.23
Atl.1.23
Unrestrleted fund
Gener￿ fund
21,362
10,000
31.362
TOTAL FUNDS
Net movement in funds, included in the above are as follows-
Incoming
r¢souKes
Resoui¢es
expended
Movemetti
in funds
Unrt&tri¢ted funds
General fund
66.751
{56,751)
10,000
TOTAL FUNDS
ComparAtives for movement In fund$
Net
movement
in funds
At
31.12.22
At 1.1.22
Unrestricted
Generdl fi]nd
5,256
16,106
21,362
TOTAL FUNDS
Comp8taiive net movement in fund& included in the above are as follows..
Incoming
resources
Resources
expended
Movem¢ni
in funds
Unrestricted funds
General fund
49.102
(32,996)
16,106
TOTAL FUNDS
Pase 9
ntinued...

Children,
hiri
Notes to th Financial
ents- contin
for the
ear ended 31 December 2023
MOVEMENT IN FUP4DS- eonlinued
A ¢utrent year 12 months and prior year 12 months combitted position is as follows..
Net
moY¢meni
in funds
At
31.12.23
At 1.1.22
Unrestricted fund5
G¢neral fund
5.256
26,106
31,362
TOTAL FUNDS
A curr¢nt year 12 months and prior year 12 months ￿mbined ne¢ movement in fund& included in the alK)ve are as follows:
Incoming
resourc¢s
R¢sources
expended
Movetnent
in funds
Unrestrieted funds
General fund
115.853
(89,747)
26,106
TOTAL FUNDS
115 853
io.
RELATED PARTY DISCLOSURES
There were no related party transactions forthe year ended 31 D￿eMber 2023.
Page 10

ani
hild
Ch8ri
D tailed Statemen
In#nciHI Activiti
for the
eAr ended 31 December 202
2023
2022
INCOME
Donathons and legscies
Donations
Gift aid
38.374
35,698
533
41,198
36,231
AetivRti¢s for geNer￿tIng funds
Fundraising events
24.650
11785
Investrnent income
Dep051t account interest
903
86
Total incoming resources
66,751
49,102
EXPENDITURE
Charitable activittes
Grants to institutions
56,000
32,51XI
Support costs
ManAgement
Insurance
GambliTh8 license
366
20
366
20
386
386
Fin9nee
Bank charges
365
Total resources expended
Net income
Thi5 pa8e does not fonn part of the statutory financial statem¢nts
Pagell